James Hillman

Insider profile

Currently holds a position at Miller/Howard High Income Equity Fund

Performance

Overall performance
2.6

Performance over holding periods
4.2
30 days 90 days 120 days
Average return -4% 8.2% 15.1%
Success rate 35% 68% 82%
Transactions
35 91% Buy
34 71% Buy
47 69% Buy

Performance for realised trades
4.4
Average return 28%
Success rate 73%
Average holding period 220
Transactions 28

Positions

Position Company Period
Independent Trustee Miller/Howard High Income Equity Fund Jan. 1, 2014 -

James Hillman's trades of Aviva 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
237.06
Quantity 51,861
Value £3,440,856
Transaction date
Purchase
Price
403.87
Quantity 30,027
Value £168,001
Transaction date
Purchase
Price
21.59
Quantity 24,362
Value £2,358,162
Transaction date
Purchase
Price
6.69
Quantity 23
Value £154
Transaction date
Purchase
Price
6.60
Quantity 39
Value £257
Transaction date
Purchase
Price
6.55
Quantity 23
Value £151
Transaction date
Purchase
Price
6.30
Quantity 40
Value £252
Transaction date
Sale
Price
5.93
Quantity 3,613
Value £21,412
Transaction date
Purchase
Price
5.95
Quantity 25
Value £149
Transaction date
Purchase
Price
6.19
Quantity 40
Value £248
Transaction date
Purchase
Price
5.84
Quantity 25
Value £146
Transaction date
Purchase
Price
6.39
Quantity 40
Value £256
Transaction date
Purchase
Price
0.09
Quantity 60,000
Value £5,100
Transaction date
Sale
Price
6.10
Quantity 34,991
Value £213,410
Transaction date
Purchase
Price
6.42
Quantity 39
Value £250
Transaction date
Purchase
Price
6.31
Quantity 37
Value £233
Transaction date
Purchase
Price
6.79
Quantity 39
Value £265
Transaction date
Planned purchase
Price
6.66
Quantity 36
Value £240
Transaction date
Planned purchase
Price
6.44
Quantity 39
Value £251
Transaction date
Purchase
Price
0.26
Quantity 20,000
Value £5,148
Transaction date
Purchase
Price
4.73
Quantity 54
Value £255
Transaction date
Purchase
Price
4.76
Quantity 51
Value £243
Transaction date
Purchase
Price
4.88
Quantity 10
Value £49
Transaction date
Purchase
Price
4.92
Quantity 532
Value £2,617
Transaction date
Purchase
Price
4.81
Quantity 53
Value £255
Transaction date
Purchase
Price
4.91
Quantity 51
Value £250
Transaction date
Purchase
Price
4.97
Quantity 50
Value £248
Transaction date
Purchase
Price
4.90
Quantity 51
Value £250
Transaction date
Purchase
Price
4.75
Quantity 51
Value £242
Transaction date
Sale
Price
4.81
Quantity 19,599
Value £94,367
Transaction date
Planned purchase
Price
4.82
Quantity 4
Value £19
Transaction date
Purchase
Price
0.13
Quantity 74,649
Value £9,988
Transaction date
Purchase
Price
0.09
Quantity 55,000
Value £4,908
Notification date Transaction date Company B/S Transaction type Nb. shares
Price
Value
Number of shares Price Value Details
2026-09-17 2026-09-15 B Purchase
51,861
237.06
£3,440,856
51,861 237.06 £3,440,856
2026-09-02 2026-08-28 B Purchase
30,027
403.87
£168,001
30,027 403.87 £168,001
2026-08-18 2026-08-17 B Purchase
24,362
21.59
£2,358,162
24,362 21.59 £2,358,162
2026-09-02 2026-07-28 B Purchase
23
6.69
£154
23 6.69 £154
2026-07-16 2026-07-15 B Purchase
39
6.60
£257
39 6.60 £257
2026-09-02 2026-06-29 B Purchase
23
6.55
£151
23 6.55 £151
2026-06-17 2026-06-15 B Purchase
40
6.30
£252
40 6.30 £252
2026-06-10 2026-06-08 S Sale
3,613
5.93
£21,412
3,613 5.93 £21,412
2026-09-02 2026-05-28 B Purchase
25
5.95
£149
25 5.95 £149
2026-05-19 2026-05-15 B Purchase
40
6.19
£248
40 6.19 £248
2026-09-02 2026-04-28 B Purchase
25
5.84
£146
25 5.84 £146
2026-04-16 2026-04-15 B Purchase
40
6.39
£256
40 6.39 £256
2026-04-14 2026-04-14 B Purchase
60,000
0.09
£5,100
60,000 0.09 £5,100
2026-03-25 2026-03-20 S Sale
34,991
6.10
£213,410
34,991 6.10 £213,410
2026-03-18 2026-03-16 B Purchase
39
6.42
£250
39 6.42 £250
2026-02-17 2026-02-16 B Purchase
37
6.31
£233
37 6.31 £233
2026-01-16 2026-01-15 B Purchase
39
6.79
£265
39 6.79 £265
2025-12-17 2025-12-15 PP Planned purchase
36
6.66
£240
36 6.66 £240
2025-11-19 2025-11-17 PP Planned purchase
39
6.44
£251
39 6.44 £251
2025-08-14 2025-08-04 B Purchase
20,000
0.26
£5,148
20,000 0.26 £5,148
2024-12-19 2024-12-16 B Purchase
54
4.73
£255
54 4.73 £255
2024-11-15 2024-11-15 B Purchase
51
4.76
£243
51 4.76 £243
2024-10-24 2024-10-21 B Purchase
10
4.88
£49
10 4.88 £49
2024-10-24 2024-10-21 B Purchase
532
4.92
£2,617
532 4.92 £2,617
2024-10-15 2024-10-15 B Purchase
53
4.81
£255
53 4.81 £255
2024-09-17 2024-09-17 B Purchase
51
4.91
£250
51 4.91 £250
2024-08-16 2024-08-15 B Purchase
50
4.97
£248
50 4.97 £248
2024-07-16 2024-07-15 B Purchase
51
4.90
£250
51 4.90 £250
2024-06-18 2024-06-17 B Purchase
51
4.75
£242
51 4.75 £242
2024-06-05 2024-06-03 S Sale
19,599
4.81
£94,367
19,599 4.81 £94,367
2024-05-31 2024-05-29 PP Planned purchase
4
4.82
£19
4 4.82 £19
2023-11-10 2023-11-09 B Purchase
74,649
0.13
£9,988
74,649 0.13 £9,988
2023-01-23 2023-01-20 B Purchase
55,000
0.09
£4,908
55,000 0.09 £4,908
2022-04-26 2022-04-25 B Purchase
2,700 +25.7%
10.51
US$28,377
2,700 +25.7% 10.51 US$28,377
2022-04-26 2022-04-05 B Purchase
300 +2.9%
11.05
US$3,315
300 +2.9% 11.05 US$3,315
2022-02-02 2022-01-05 B Purchase
3,000 +10.6%
10.40
US$31,200
3,000 +10.6% 10.40 US$31,200
2020-12-17 2020-12-15 B Purchase
2,500 +94.2%
7.95
US$19,875
2,500 +94.2% 7.95 US$19,875
2020-07-14 2020-07-01 B Purchase
500 +12.2%
6.10
US$3,050
500 +12.2% 6.10 US$3,050
2020-06-22 2020-05-28 B Purchase
580 +16.5%
6.20
US$3,596
580 +16.5% 6.20 US$3,596
2020-06-22 2020-04-02 B Purchase
443 +14.4%
5.00
US$2,215
443 +14.4% 5.00 US$2,215