Andy Brown

Insider profile

Currently holds a position at Chegg Inc

Performance

Overall performance
1.4

Performance over holding periods
1.4
30 days 90 days 120 days
Average return -4% 8.2% 15.1%
Success rate 0% 68% 82%
Transactions
2 100% Buy
34 71% Buy
47 69% Buy

Positions

Position Company Period
Chief Financial Officer Chegg Inc Oct. 1, 2011 -

Andy Brown's trades of FDM Group (Holdings) PLC's stock


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Purchase Sale Planned purchase Planned sale Net purchase Net sale Buy signal Sell signal Earnings
Abbreviations B: Buy, S: Sell, PP: Planned purchase, PlS: Planned sale, PrS: Proposed sale, O: Option / Other
Transaction date
Purchase
Price
10.97
Quantity 16,032
Value £2,554,377
Transaction date
Planned sale
Price
298.24
Quantity 26,088 -48.4%
Value US$1,135,091
Transaction date
Proposed sale
Price
435.99
Quantity 65,286
Value US$3,735,052
Transaction date
Purchase
Price
76.99
Quantity 350
Value £26,946
Transaction date
Planned sale
Price
40.06
Quantity 16,542 -23.3%
Value US$662,673
Transaction date
Planned sale
Price
40.00
Quantity 980 -1.4%
Value US$39,200
Transaction date
Planned sale
Price
40.32
Quantity 86,000 -54.4%
Value US$3,467,520
Transaction date
Purchase
Price
25.99
Quantity 2,750
Value £71,466
Transaction date
Planned sale
Price
41.12
Quantity 40,516 -32.4%
Value US$1,666,018
Transaction date
Planned sale
Price
38.91
Quantity 84,640 -50.0%
Value US$3,293,342
Transaction date
Planned sale
Price
38.92
Quantity 49,264 -36.8%
Value US$1,917,355
Transaction date
Sale
Price
24.43
Quantity 60,000
Value £1,465,800
Transaction date
Sale
Price
24.30
Quantity 10,000
Value £243,000
Transaction date
Planned sale
Price
35.18
Quantity 81,270 -38.6%
Value US$2,859,079
Transaction date
Planned sale
Price
32.77
Quantity 90,741 -13.4%
Value US$2,973,583
Transaction date
Planned sale
Price
32.51
Quantity 9,259 -1.6%
Value US$301,010
Transaction date
Planned sale
Price
30.32
Quantity 21,048 -3.5%
Value US$638,175
Transaction date
Purchase
Price
23.18
Quantity 3,583
Value £83,048
Transaction date
Purchase
Price
25.15
Quantity 3,232
Value £81,275
Transaction date
Purchase
Price
26.60
Quantity 2,906
Value £77,312
Transaction date
Purchase
Price
22.56
Quantity 3,254
Value £73,404
Transaction date
Purchase
Price
21.85
Quantity 2,850
Value €62,262
Transaction date
Sale
Price
17.69
Quantity 11,900
Value €210,511
Transaction date
Purchase
Price
18.36
Quantity 4,700
Value €86,288
Transaction date
Purchase
Price
18.25
Quantity 3,850
Value €70,244
Notification date Transaction date Company B/S Transaction type Nb. shares
Price
Value
Number of shares Price Value Details
2026-06-02 2026-06-02 B Purchase
16,032
10.97
£2,554,377
16,032 10.97 £2,554,377
2023-11-29 2023-11-27 PlS Planned sale
26,088 -48.4%
298.24
US$1,135,091
26,088 -48.4% 298.24 US$1,135,091
2023-11-27 2023-11-27 PrS Proposed sale
65,286
435.99
US$3,735,052
65,286 435.99 US$3,735,052
2022-02-01 2022-01-28 B Purchase
350
76.99
£26,946
350 76.99 £26,946
2020-03-05 2020-03-05 PlS Planned sale
16,542 -23.3%
40.06
US$662,673
16,542 -23.3% 40.06 US$662,673
2020-03-05 2020-03-04 PlS Planned sale
980 -1.4%
40.00
US$39,200
980 -1.4% 40.00 US$39,200
2020-03-05 2020-03-03 PlS Planned sale
86,000 -54.4%
40.32
US$3,467,520
86,000 -54.4% 40.32 US$3,467,520
2019-06-26 2019-06-24 B Purchase
2,750
25.99
£71,466
2,750 25.99 £71,466
2019-03-19 2019-03-18 PlS Planned sale
40,516 -32.4%
41.12
US$1,666,018
40,516 -32.4% 41.12 US$1,666,018
2019-03-05 2019-03-01 PlS Planned sale
84,640 -50.0%
38.91
US$3,293,342
84,640 -50.0% 38.91 US$3,293,342
2019-02-26 2019-02-23 PlS Planned sale
49,264 -36.8%
38.92
US$1,917,355
49,264 -36.8% 38.92 US$1,917,355
2019-02-19 2019-02-15 S Sale
60,000
24.43
£1,465,800
60,000 24.43 £1,465,800
2019-02-14 2019-02-04 S Sale
10,000
24.30
£243,000
10,000 24.30 £243,000
2019-02-04 2019-01-31 PlS Planned sale
81,270 -38.6%
35.18
US$2,859,079
81,270 -38.6% 35.18 US$2,859,079
2019-01-11 2019-01-10 PlS Planned sale
90,741 -13.4%
32.77
US$2,973,583
90,741 -13.4% 32.77 US$2,973,583
2019-01-11 2019-01-09 PlS Planned sale
9,259 -1.6%
32.51
US$301,010
9,259 -1.6% 32.51 US$301,010
2019-01-09 2019-01-07 PlS Planned sale
21,048 -3.5%
30.32
US$638,175
21,048 -3.5% 30.32 US$638,175
2018-12-20 2018-12-19 B Purchase
3,583
23.18
£83,048
3,583 23.18 £83,048
2018-09-19 2018-09-17 B Purchase
3,232
25.15
£81,275
3,232 25.15 £81,275
2018-06-19 2018-06-18 B Purchase
2,906
26.60
£77,312
2,906 26.60 £77,312
2018-03-27 2018-03-26 B Purchase
3,254
22.56
£73,404
3,254 22.56 £73,404
2013-01-15 2012-12-31 B Purchase
2,850
21.85
€62,262
2,850 21.85 €62,262
2012-06-08 2012-06-01 S Sale
11,900
17.69
€210,511
11,900 17.69 €210,511
2012-01-19 2011-12-29 B Purchase
4,700
18.36
€86,288
4,700 18.36 €86,288
2010-12-22 2010-12-17 B Purchase
3,850
18.25
€70,244
3,850 18.25 €70,244