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Bridgewater Associates position in AVNS

AVANOS MED INC

Latest position (Q3 2024)10.47K sh
Reported value held$251.62K
Portfolio Weight0.00%
First reportedQ3 2021
Last changeReduce

Quarter by quarter

QuarterSharesValueChange
Q3 2021 47.22K $1.47M New
Q4 2021 52.95K $1.84M Add
Q1 2022 67.57K $2.26M Add
Q2 2022 74.21K $2.03M Add
Q3 2022 72.90K $1.59M Reduce
Q4 2022 54.27K $1.47M Reduce
Q1 2023 56.24K $1.67M Add
Q2 2023 49.86K $1.27M Reduce
Q3 2023 54.37K $1.10M Add
Q4 2023 32.79K $735.48K Reduce
Q1 2024 17.26K $343.67K Reduce
Q2 2024 16.13K $321.39K Reduce
Q3 2024 10.47K $251.62K Reduce

Dots on the line are colored by change type; missing quarters mean no position was reported.

Other funds holding AVNS

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