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User

Paul Isaac

Arbiter Partners Capital Management

Paul Isaac Permian Basin Royalty Trust stake

total: 298

Arbiter Partners Capital Management PBT trades

Total transactions:
10
New positions:
1
Sold out:
1
Added:
5
Reduced:
3
Held since:
2014 Q2
Held for:
11 quarters
Latest activity:
2017 Q1
According to 2026 Q2 report, Paul Isaac doesn't hold any Permian Basin Royalty Trust (PBT) shares. To date, the estimated cost basis is nearly $9.7 for "buy" trades and estimated average "sell" price is $7.26. Arbiter Partners Capital Management first purchased PBT in 2014 Q2, initially acquiring 245,268 shares. Since the initial investment in Permian Basin Royalty Trust (PBT), Arbiter Partners Capital Management has made 9 more transactions.

When did Paul Isaac sell Permian Basin Royalty Trust (PBT)?

Paul Isaac sold off the entire Permian Basin Royalty Trust (PBT) position in 2017 Q1.

When did Paul Isaac buy Permian Basin Royalty Trust (PBT)?

Paul Isaac first invested in Permian Basin Royalty Trust (PBT) in 2014 Q2 at the reported quarter-end price of $14.25 per share.

What's the cost basis of Arbiter Partners Capital Management's PBT stake?

The estimated cost basis for Permian Basin Royalty Trust (PBT) stake is around $9.70 per share. This represents their average reported price* across all buy transactions

Estimated cost basis*

Weighted AVG buy price:
$9.70
Weighted AVG sell price:
$7.26

Paul Isaac's historical trades in Permian Basin Royalty Trust

10 results
Period % of
portfolio
Shares
held after*
Reported
price*
Value* % (shares)
of activity
% change
to portfolio
2017 Q1
0.00%
$7.71
-100% (-12,834)
2016 Q4
0.03%
$7.71
-93.28% (-178,069)
2016 Q3
0.46%
$6.97
-67.75% (-401,120)
2016 Q2
1.51%
$7.33
-43.13% (-448,977)
2016 Q1
2.05%
$6.16
+7.78% (+75,111)
2015 Q3
1.60%
$6.11
+12.22% (+105,192)
2015 Q2
1.83%
$8.06
+41.89% (+254,114)
2015 Q1
1.50%
$8.09
+0.13% (+800)
2014 Q4
1.60%
$9.55
+146.99% (+360,515)
2014 Q2
0.99%
$14.25
new
* Shares, change to shares, sold shares, shares held after: split-adjusted.
* Reported price: this doesn't represent the actual buy or sell price. It is the split-adjusted price of the security as of the last day of the reported period.
If the security is completely sold out, we show the reported split-adjusted price prior to the actual period.
* Estimated cost basis: based on "Reported price*" (not earlier than 2013 Q2). Calculation starts from the latest "new buy" activity to the latest "close out" activity (if any).
* Value or Price: If the security is completely sold out, we show the reported value (or price) prior to the actual period.
* New buy or own: this means there is no earlier reporting (for us or in general). So we can't know if the actual purchase of the security happened at the reported period or earlier.