house · trading 2022-05-10 → 2022-11-07
*Notional-weighted price return on disclosed buys, marked to the latest close — open positions, per-share (share counts aren't disclosed, so this is price performance, not realized $ P&L).
| Date | Ticker | Type | Amount | Est. price | Latest close | Return |
|---|---|---|---|---|---|---|
| 2022-11-07 | GS | SELL | $250K–$500K | $362.56 | $1019.61 2026-06-26 | -181.2% exit |
| 2022-11-03 | GS | SELL | $500K–$1.0M | $348.87 | $1019.61 2026-06-26 | +20.2% rt |
| 2022-11-03 | GS | SELL | $250K–$500K | $348.87 | $1019.61 2026-06-26 | +14.4% rt |
| 2022-11-03 | GS | SELL | $15K–$50K | $348.87 | $1019.61 2026-06-26 | +3.7% rt |
| 2022-08-26 | GS | BUY | $500K–$1.0M | $336.40 | $1019.61 2026-06-26 | +203.1% |
| 2022-07-13 | GS | BUY | $15K–$50K | $290.15 | $1019.61 2026-06-26 | +251.4% |
| 2022-05-10 | GS | BUY | $250K–$500K | $305.06 | $1019.61 2026-06-26 | +234.2% |
Return: buys are marked to the latest close (open); sells tagged rt are realized round-trips vs a prior disclosed buy; exit = timing (how the stock moved after the sale, seller's perspective).