AQR Capital Management’s Nuance Communications, Inc. NUAN Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q1
Sell
-11,764
Closed -$651K 2343
2021
Q4
$651K Sell
11,764
-4,132
-26% -$229K ﹤0.01% 1741
2021
Q3
$875K Buy
15,896
+3,250
+26% +$179K ﹤0.01% 1621
2021
Q2
$688K Sell
12,646
-76,312
-86% -$4.15M ﹤0.01% 1752
2021
Q1
$3.84M Sell
88,958
-45,465
-34% -$1.96M 0.01% 891
2020
Q4
$5.85M Sell
134,423
-380,501
-74% -$16.6M 0.01% 738
2020
Q3
$17M Sell
514,924
-732,860
-59% -$24.2M 0.03% 508
2020
Q2
$31.6M Sell
1,247,784
-425,966
-25% -$10.8M 0.05% 381
2020
Q1
$28.1M Buy
1,673,750
+617,471
+58% +$10.4M 0.05% 400
2019
Q4
$18.8M Sell
1,056,279
-822,774
-44% -$14.6M 0.02% 601
2019
Q3
$26.2M Sell
1,879,053
-329,685
-15% -$4.6M 0.03% 517
2019
Q2
$30.5M Buy
2,208,738
+577,361
+35% +$7.98M 0.03% 483
2019
Q1
$23.9M Buy
1,631,377
+1,416,855
+660% +$20.8M 0.03% 562
2018
Q4
$2.46M Buy
214,522
+136,698
+176% +$1.57M ﹤0.01% 1175
2018
Q3
$1.17M Sell
77,824
-713,776
-90% -$10.7M ﹤0.01% 1646
2018
Q2
$9.52M Sell
791,600
-370,429
-32% -$4.45M 0.01% 800
2018
Q1
$15.8M Buy
1,162,029
+58,029
+5% +$791K 0.02% 650
2017
Q4
$15.6M Buy
1,104,000
+946,228
+600% +$13.4M 0.02% 666
2017
Q3
$2.15M Sell
157,772
-260,117
-62% -$3.54M ﹤0.01% 1347
2017
Q2
$6.3M Sell
417,889
-767,512
-65% -$11.6M 0.01% 934
2017
Q1
$17.8M Sell
1,185,401
-1,843,886
-61% -$27.6M 0.02% 626
2016
Q4
$39.1M Sell
3,029,287
-2,876,153
-49% -$37.1M 0.05% 440
2016
Q3
$74.1M Buy
5,905,440
+789,049
+15% +$9.91M 0.11% 248
2016
Q2
$69.2M Buy
5,116,391
+3,069,870
+150% +$41.5M 0.12% 239
2016
Q1
$33.1M Buy
2,046,521
+1,578,378
+337% +$25.5M 0.06% 413
2015
Q4
$8.06M Buy
468,143
+385,157
+464% +$6.63M 0.01% 777
2015
Q3
$1.18M Buy
+82,986
New +$1.18M ﹤0.01% 1356
2014
Q4
Sell
-130,463
Closed -$1.74M 2659
2014
Q3
$1.74M Buy
130,463
+102,102
+360% +$1.36M ﹤0.01% 1337
2014
Q2
$461K Buy
+28,361
New +$461K ﹤0.01% 2024
2013
Q4
Sell
-79,615
Closed -$1.29M 2617
2013
Q3
$1.29M Sell
79,615
-48,076
-38% -$778K ﹤0.01% 1521
2013
Q2
$2.03M Buy
+127,691
New +$2.03M 0.01% 1260