INTU INTUIT COM Common Stock

Ownership history in STRATEGY ASSET MANAGERS LLC  ·  30 quarters on record

This page tracks every 13F SEC filing in which STRATEGY ASSET MANAGERS LLC reported a position in INTUIT COM Common Stock (INTU). Data includes quarterly share count, position size as % of portfolio, estimated market value, and end-of-quarter stock price — sourced directly from SEC EDGAR 13F filings.

Peak position
1.23% (2003 Q2)
Avg. % of fund
0.58%
First filed
2002 Q3
Last filed
2025 Q3
Quarters held
30
Quarter Action Shares Change Chg % % of Fund Mkt Value Price (EOQ)
2025 Q3 ADDED 604 +314 +108.3% 0.07% $412K $680.41
2025 Q2 REDUCED 290 -1,824 -86.3% 0.04% $228K $783.69
2022 Q2 REDUCED 2,114 -64 -2.9% 0.25% $815K $375.85
2022 Q1 ADDED 2,178 +96 +4.6% 0.23% $1.0M $468.23
2021 Q4 REDUCED 2,082 -150 -6.7% 0.35% $1.3M $625.63
2021 Q3 ADDED 2,232 +34 +1.5% 0.27% $1.2M $524.09
2021 Q2 ADDED 2,198 +3 +0.1% 0.23% $1.1M $475.60
2021 Q1 ADDED 2,195 +77 +3.6% 0.19% $841K $371.14
2020 Q4 REDUCED 2,118 -167 -7.3% 0.19% $805K $367.44
2020 Q3 REDUCED 2,285 -355 -13.4% 0.19% $746K $315.00
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% of Fund (quarterly)    INTU price (monthly, adj. close)
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