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Jim Simons's Blue Bird Corporation (BLBD) position

Yes: as of Q1 2026, Jim Simons holds 368K shares of BLBD worth $21M (0.0% of the disclosed portfolio). Held since at least Q1 2021; that opening coverage snapshot is not counted as a purchase.
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Current value
$21M
Shares held
368K
% of portfolio
0.0%
Est. average buy price (i)
$46.05
est. since Q2 2023
Quarter-end price
$56.79

Estimated trade prices

Average price in quarters with purchases
$44.04
Average prices in quarters with sales
  • Q1 2026: $53.84 (48K shares sold)
  • Q2 2025: $38.03 (24K shares sold)
  • Q1 2025: $36.57 (112K shares sold)
  • Q4 2024: $41.76 (216K shares sold)
  • Q3 2024: $49.41 (27K shares sold)
  • Q1 2024: $30.62 (35K shares sold)
  • Q3 2023: $21.19 (141K shares sold)
  • Q4 2022: $10.05 (18K shares sold)
  • Q3 2022: $10.43 (22K shares sold)
  • Q2 2022: $14.02 (48K shares sold)
  • Q1 2022: $18.21 (89K shares sold)
  • Q4 2021: $19.85 (18K shares sold)
  • Q3 2021: $22.19 (86K shares sold)
  • Q2 2021: $26.29 (112K shares sold)

BLBD price vs Simons's position

Dates
$7$50$10020222023202420252026Sold 86K shares (21.7%) · Q3 2021. Average closing price $22.19 · Price range $19.23–$25.6686KsharessoldSold 18K shares (5.7%) · Q4 2021. Average closing price $19.85 · Price range $14.74–$25.3118KsharessoldSold 89K shares (30.3%) · Q1 2022. Average closing price $18.21 · Price range $14.26–$21.7089KsharessoldSold 48K shares (23.6%) · Q2 2022. Average closing price $14.02 · Price range $9.21–$19.4548KsharessoldSold 22K shares (13.9%) · Q3 2022. Average closing price $10.43 · Price range $8.12–$12.7522KsharessoldSold 18K shares (13.2%) · Q4 2022. Average closing price $10.05 · Price range $7.37–$13.1518KsharessoldAdded 18K shares (15.8%) · Q1 2023. Average closing price $17.84 · Price range $11.57–$22.5218KsharespurchasedSold 141K shares (39.5%) · Q3 2023. Average closing price $21.19 · Price range $19.14–$23.58141KsharessoldAdded 100K shares (46.2%) · Q4 2023. Average closing price $20.59 · Price range $17.79–$28.18100KsharespurchasedSold 35K shares (11.0%) · Q1 2024. Average closing price $30.62 · Price range $24.50–$38.3435KsharessoldAdded 229K shares (81.7%) · Q2 2024. Average closing price $46.05 · Price range $32.83–$57.87229KsharespurchasedSold 27K shares (5.4%) · Q3 2024. Average closing price $49.41 · Price range $45.15–$54.5127KsharessoldSold 216K shares (44.7%) · Q4 2024. Average closing price $41.76 · Price range $36.37–$46.10216KsharessoldSold 112K shares (42.2%) · Q1 2025. Average closing price $36.57 · Price range $32.37–$42.39112KsharessoldSold 24K shares (15.7%) · Q2 2025. Average closing price $38.03 · Price range $31.28–$43.1624KsharessoldAdded 220K shares (169.2%) · Q3 2025. Average closing price $52.26 · Price range $42.73–$61.77220KsharespurchasedAdded 66K shares (18.8%) · Q4 2025. Average closing price $52.36 · Price range $46.59–$57.1666KsharespurchasedSold 48K shares (11.5%) · Q1 2026. Average closing price $53.84 · Price range $46.81–$61.6048Ksharessold← Earlier —1 sell
Average closing price · filing quarter
$53.84
Price range · filing quarter
$46.81 – $61.60

Every quarterly change

Quarter Action Shares change Est. value change Δ Own Shares held Filing date
Q1 2026 Reduced −48K −$2.6M −11.5% 368K May 14, 2026
Q4 2025 Added +66K +$3.4M +18.8% 415K Feb 12, 2026
Q3 2025 Added +220K +$11M +169.2% 350K Nov 13, 2025
Q2 2025 Reduced −24K −$920K −15.7% 130K Aug 13, 2025
Q1 2025 Reduced −112K −$4.1M −42.2% 154K May 14, 2025
Q4 2024 Reduced −216K −$9.0M −44.7% 266K Feb 13, 2025
Q3 2024 Reduced −27K −$1.3M −5.4% 482K Nov 13, 2024
Q2 2024 Added +229K +$11M +81.7% 509K Aug 9, 2024
Q1 2024 Reduced −35K −$1.1M −11.0% 280K May 13, 2024
Q4 2023 Added +100K +$2.0M +46.2% 315K Feb 13, 2024
Q3 2023 Reduced −141K −$3.0M −39.5% 215K Nov 14, 2023
Q2 2023 First covered 356K Aug 11, 2023
Q1 2023 Added +18K +$328K +15.8% 135K May 12, 2023
Q4 2022 Reduced −18K −$178K −13.2% 117K Feb 13, 2023
Q3 2022 Reduced −22K −$226K −13.9% 134K Nov 14, 2022
Q2 2022 Reduced −48K −$675K −23.6% 156K Aug 12, 2022
Q1 2022 Reduced −89K −$1.6M −30.3% 204K May 13, 2022
Q4 2021 Reduced −18K −$349K −5.7% 293K Feb 11, 2022
Q3 2021 Reduced −86K −$1.9M −21.7% 310K Nov 12, 2021
Q2 2021 Reduced −112K −$2.9M −22.0% 396K Aug 13, 2021
Q1 2021 First covered 508K May 13, 2021
Data through Q1 2026 · filed May 14, 2026
21 grouped rows from 21 quarters

More Simons positions

Common questions

Does Jim Simons own BLBD?

Yes. As of Q1 2026, Jim Simons disclosed 368K shares of BLBD, worth $21M. All figures come from SEC 13F filings for Q1 2026, the latest disclosed quarter.

When did Jim Simons buy BLBD?

Jim Simons held BLBD since at least Q1 2021, when this filing coverage begins; the opening snapshot is not a disclosed purchase. All figures come from SEC 13F filings for Q1 2026, the latest disclosed quarter.

Did Jim Simons sell BLBD?

The quarter-by-quarter table above shows each sale and reduction Jim Simons disclosed in BLBD. All figures come from SEC 13F filings for Q1 2026, the latest disclosed quarter.

How many shares of BLBD does Jim Simons own?

Jim Simons disclosed 368K shares of BLBD as of Q1 2026. All figures come from SEC 13F filings for Q1 2026, the latest disclosed quarter.

What price did Jim Simons pay for BLBD?

Jim Simons began building the BLBD position before our 13F history starts, so an exact average buy price cannot be estimated without understating it. All figures come from SEC 13F filings for Q1 2026, the latest disclosed quarter.

How are the estimated trade prices calculated?

13F filings disclose quarter-end holdings, not trade dates or execution prices. These estimates use each covered quarter's average market price; the add average excludes the opening position and quarters without price data. All figures come from SEC 13F filings for Q1 2026, the latest disclosed quarter.