Home › Funds › Point72 Asset Management › NAT

Point72 Asset Management position in NAT

NORDIC AMERICAN TANKERS LIMI · Consumer Discretionary

Latest position (Q2 2026)880.18K sh
Reported value held$4.88M
Portfolio Weight0.01%
First reportedQ2 2022
Last changeAdd

Quarter by quarter

QuarterSharesValueChange
Q2 2022 99.50K $212.00K New
Q1 2023 16.13K $63.88K New
Q3 2023 8.60K $35.43K New
Q4 2025 179.80K $618.50K New
Q1 2026 854.28K $5.01M Add
Q2 2026 880.18K $4.88M Add

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

Other funds holding NAT

All NAT fund holders →