BARON SELECT FDS - EMGMKTS INSTL

Historical Portfolio Holders from Q1 2015 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / EMGMKTS INSTL
Shares, excl. options Q1 2024
97.8 K
Holdings value Q1 2024
$1.4 M
Value change Q1 2024
-$458 K
Grand Portfolio weight change Q1 2024
0%
Number of holders
1
Number of buys Q1 2024
0
Number of sells Q1 2024
-1
Average buys Q1 2024 %
0
Average sells Q1 2024 %
0%
CUSIP
06828M876
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 97.8 K $1.4 M -$458 K $14.37 1
2023 Q4 130 K $1.82 M -$166 K $14.05 2
2023 Q3 141 K $1.87 M -$778 K $13.22 1
2023 Q2 198 K $2.75 M -$142 K $13.90 2
2023 Q1 208 K $2.79 M -$4.29 M $13.39 2
2022 Q4 529 K $6.89 M +$3.37 M $13.04 2
2022 Q3 270 K $3.25 M -$709 K $12.01 1
2022 Q2 329 K $4.46 M -$265 K $13.54 1
2022 Q1 349 K $5.27 M -$261 K $15.10 1
2021 Q4 366 K $6.44 M -$226 K $17.88 2
2021 Q3 378 K $7.06 M +$172 K $18.64 3
2021 Q2 369 K $7.36 M +$68.4 K $20.58 2
2021 Q1 366 K $6.96 M +$53.9 K $18.87 2
2020 Q4 363 K $6.91 M -$3.98 M $19.06 1
2020 Q3 571 K $9.04 M -$3.21 M $15.82 1
2020 Q2 775 K $10.9 M -$4.43 M $14.01 1
2020 Q1 1.09 M $12.1 M -$18.2 M $11.06 1
2019 Q4 3.05 M $44.9 M -$574 K $14.75 3
2019 Q3 2.28 M $30.8 M -$2.12 M $13.53 2
2019 Q2 3.24 M $45.4 M -$225 K $14.00 3
2019 Q1 3.26 M $45.5 M +$12.3 M $13.96 3
2018 Q4 2.38 M $29.7 M -$2.23 M $12.47 2
2018 Q3 2.27 M $30.3 M -$7.18 M $13.36 2
2018 Q2 2.81 M $39.5 M +$5.97 M $14.05 3
2018 Q1 2.38 M $36.9 M -$8.43 M $15.50 1
2017 Q4 2.94 M $45.1 M +$2.23 M $15.37 4
2017 Q3 2.79 M $40.6 M -$245 K $14.54 4
2017 Q2 4.01 M $53 M +$15.1 M $13.21 4
2017 Q1 2.87 M $35.6 M +$18.1 M $12.41 3
2016 Q4 1.41 M $15.5 M +$3.05 M $10.98 3
2016 Q3 1.13 M $13.6 M +$5.43 M $12.07 2
2016 Q2 684 K $7.65 M +$7.65 M $11.19 1
2015 Q1 1.11 K $13 K +$13 K $11.70 1