First Eagle Investment’s DE Holdings & Trades

First Buy
Q4 2013
Duration Held
48 Quarters
Largest Add
Q3 2014
+3.55 M Shares
Current Position
511,840 Shares
$234.04 M Value

First Eagle Investment's DE Position Overview

First Eagle Investment (via First Eagle Investment Management, LLC) currently holds 511,840 shares of Deere & Company (DE) worth $234.04 M, representing 0.43% of the portfolio. First purchased in 2013-Q4, this long-term strategic position has been held for 48 quarters.

Based on 13F filings since 2013, First Eagle Investment has maintained a long-term strategic position in DE, representing a significant commitment to this investment thesis. Largest addition occurred in Q3 2014, adding 3.55 M shares. Largest reduction occurred in Q4 2020, reducing 1.38 M shares.

Analysis based on 13F filings available since 2013 Q2

First Eagle Investment's Deere & Company (DE) Holding Value Over Time

Track share changes against reported price movement

Quarterly Deere & Company (DE) Trades by First Eagle Investment

Report Date Bought/Sold (Sh.) % Change Qtr. End Shares Reported Price
Q4 2013 +4,300 New Buy 4,300 $91.40
Q1 2014 +10,000 Add 232.56% 14,300 $90.77
Q2 2014 -14,300 Sold Out 0 $0.00
Q3 2014 +3.55 M New Buy 3.55 M $81.99
Q4 2014 +984,437 Add 27.70% 4.54 M $88.47
Q1 2015 +36,804 Add 0.81% 4.58 M $87.69
Q2 2015 -18,977 Reduce 0.41% 4.56 M $97.05
Q3 2015 +342,471 Add 7.52% 4.9 M $74.00
Q4 2015 +188,985 Add 3.86% 5.09 M $76.27
Q1 2016 +124,920 Add 2.46% 5.21 M $76.99
Q2 2016 +40,070 Add 0.77% 5.25 M $81.04
Q3 2016 +1.07 M Add 20.42% 6.33 M $85.35
Q4 2016 +5,336 Add 0.08% 6.33 M $103.04
Q1 2017 +322,158 Add 5.09% 6.65 M $108.86
Q2 2017 -176,427 Reduce 2.65% 6.48 M $123.59
Q3 2017 -1.2 M Reduce 18.60% 5.27 M $125.59
Q4 2017 -353,108 Reduce 6.70% 4.92 M $156.51
Q1 2018 -88,901 Reduce 1.81% 4.83 M $155.32
Q2 2018 -11,939 Reduce 0.25% 4.82 M $139.80
Q3 2018 -9,858 Reduce 0.20% 4.81 M $150.33
Q4 2018 +1,624 Add 0.03% 4.81 M $149.17
Q1 2019 -93,002 Reduce 1.93% 4.72 M $159.84
Q2 2019 +56,232 Add 1.19% 4.77 M $165.71
Q3 2019 -245,584 Reduce 5.15% 4.53 M $168.68
Q4 2019 -421,443 Reduce 9.31% 4.11 M $173.26
Q1 2020 +38,464 Add 0.94% 4.14 M $138.16
Q2 2020 -9,398 Reduce 0.23% 4.14 M $157.15
Q3 2020 -185,239 Reduce 4.48% 3.95 M $221.63
Q4 2020 -1.38 M Reduce 34.89% 2.57 M $269.05
Q1 2021 -1.04 M Reduce 40.29% 1.54 M $374.14
Q2 2021 -20,567 Reduce 1.34% 1.51 M $352.71
Q3 2021 -112,700 Reduce 7.44% 1.4 M $335.07
Q4 2021 -13,688 Reduce 0.98% 1.39 M $342.89
Q1 2022 -404,001 Reduce 29.10% 984,517 $415.46
Q2 2022 -162 Reduce 0.02% 984,355 $299.47
Q3 2022 -90,250 Reduce 9.17% 894,105 $333.89
Q4 2022 -354,382 Reduce 39.64% 539,723 $428.76
Q1 2023 +484 Add 0.09% 540,207 $412.88
Q2 2023 -3,907 Reduce 0.72% 536,300 $405.19
Q3 2023 -7,605 Reduce 1.42% 528,695 $377.38
Q4 2023 +381 Add 0.07% 529,076 $399.87
Q1 2024 -102 Reduce 0.02% 528,974 $410.74
Q2 2024 -2,053 Reduce 0.39% 526,921 $373.63
Q3 2024 -703 Reduce 0.13% 526,218 $417.33
Q4 2024 +5,019 Add 0.95% 531,237 $423.70
Q1 2025 -1,064 Reduce 0.20% 530,173 $469.35
Q2 2025 -17,540 Reduce 3.31% 512,633 $508.49
Q3 2025 -793 Reduce 0.15% 511,840 $457.26

First Eagle Investment's Deere & Company Investment FAQs

First Eagle Investment first purchased Deere & Company (DE) in Q4 2013, acquiring 4,300 shares, as reported in their 13F filing for that period. Note: Analysis reflects filings available since Q2 2013; earlier records may be incomplete.

First Eagle Investment has held Deere & Company (DE) for 48 quarters since Q4 2013.

First Eagle Investment's largest addition to Deere & Company (DE) was in Q3 2014, adding 3,554,029 shares worth $291.4 M.

According to the latest 13F filing for Q3 2025, First Eagle Investment's firm, First Eagle Investment Management, LLC, owns 511,840 shares of Deere & Company (DE), valued at approximately $234.04 M.

As of the Q3 2025 filing, Deere & Company (DE) represents approximately 0.43% of First Eagle Investment's publicly disclosed stock portfolio, making it one of their key holdings.

First Eagle Investment's peak holding in Deere & Company (DE) was 6,652,623 shares, as reported at the end of Q1 2017.