Follow-The-Filings
Ticker
WPM
Investment type
Equity
Class
COM
Manager
First Eagle Investment Management

Shares held by quarter

New Add Reduce Exit

  1. 2021 Q3 · 16,506,831 shares · $620M · 1.6% of portfolio
  2. 2021 Q4 · 16,437,704 shares · $706M · 1.8% of portfolio · Reduce −0.4%
  3. 2022 Q1 · 17,057,649 shares · $812M · 2.0% of portfolio · Add +3.8%
  4. 2022 Q2 · 17,031,820 shares · $614M · 1.7% of portfolio · Reduce −0.2%
  5. 2022 Q3 · 19,402,786 shares · $628M · 1.9% of portfolio · Add +13.9%
  6. 2022 Q4 · 20,234,007 shares · $791M · 2.2% of portfolio · Add +4.3%
  7. 2023 Q1 · 20,300,771 shares · $978M · 2.6% of portfolio · Add +0.3%
  8. 2023 Q2 · 20,353,517 shares · $880M · 2.2% of portfolio · Add +0.3%
  9. 2023 Q3 · 20,998,263 shares · $851M · 2.2% of portfolio · Add +3.2%
  10. 2023 Q4 · 21,110,441 shares · $1B · 2.5% of portfolio · Add +0.5%
  11. 2024 Q1 · 21,403,409 shares · $1B · 2.3% of portfolio · Add +1.4%
  12. 2024 Q2 · 21,105,883 shares · $1.1B · 2.5% of portfolio · Reduce −1.4%
  13. 2024 Q3 · 19,346,585 shares · $1.2B · 2.4% of portfolio · Reduce −8.3%
  14. 2024 Q4 · 19,047,037 shares · $1.1B · 2.4% of portfolio · Reduce −1.5%
  15. 2025 Q1 · 18,581,472 shares · $1.4B · 3.0% of portfolio · Reduce −2.4%
  16. 2025 Q2 · 18,096,257 shares · $1.6B · 3.2% of portfolio · Reduce −2.6%
  17. 2025 Q3 · 17,158,963 shares · $1.9B · 3.5% of portfolio · Reduce −5.2%
  18. 2025 Q4 · 15,390,108 shares · $1.8B · 3.2% of portfolio · Reduce −10.3%
  19. 2026 Q1 · 28,313,022 shares · $3.7B · 5.6% of portfolio · Add +84.0%
  20. 2026 Q2 · 14,215,147 shares · $1.6B · 2.7% of portfolio · Reduce −49.8%
Holdings date Value % of holdings Shares Filing date All 13F holders