Home › Funds › Point72 Asset Management › ACI

Point72 Asset Management position in ACI

ALBERTSONS COMPANIES INC · Consumer Staples

Latest position (Q2 2026)372.32K sh
Reported value held$5.04M
Portfolio Weight0.02%
First reportedQ1 2022
Last changeNew

Quarter by quarter

QuarterSharesValueChange
Q1 2022 909.30K $30.23M New
Q2 2022 3.93M $104.94M Add
Q3 2022 1.83M $45.53M Reduce
Q4 2022 37.00K $767.38K Reduce
Q1 2023 51.60K $1.07M Add
Q4 2023 50.00K $1.15M New
Q3 2024 92.50K $1.71M New
Q4 2024 3.00M $58.85M Add
Q1 2025 487.30K $10.72M Reduce
Q1 2025 487.30K $10.72M Reduce
Q2 2025 975.92K $20.99M Add
Q2 2025 975.92K $20.99M Add
Q3 2025 434.60K $7.61M Reduce
Q4 2025 253.50K $4.35M Reduce
Q2 2026 372.32K $5.04M New

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

Other funds holding ACI

All ACI fund holders →