Advisor Partners’s Air Products & Chemicals APD Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q2
$3.67M Buy
15,264
+2,092
+16% +$503K 0.26% 68
2022
Q1
$3.29M Sell
13,172
-572
-4% -$143K 0.21% 90
2021
Q4
$4.18M Buy
13,744
+40
+0.3% +$12.2K 0.25% 68
2021
Q3
$3.51M Sell
13,704
-674
-5% -$173K 0.24% 82
2021
Q2
$4.14M Sell
14,378
-24
-0.2% -$6.9K 0.27% 69
2021
Q1
$4.05M Sell
14,402
-221
-2% -$62.2K 0.29% 66
2020
Q4
$4M Sell
14,623
-252
-2% -$68.8K 0.3% 61
2020
Q3
$4.43M Sell
14,875
-475
-3% -$141K 0.38% 53
2020
Q2
$3.71M Sell
15,350
-384
-2% -$92.7K 0.35% 58
2020
Q1
$3.14M Buy
15,734
+3,752
+31% +$749K 0.38% 54
2019
Q4
$2.82M Buy
11,982
+3,504
+41% +$825K 0.29% 73
2019
Q3
$1.88M Buy
8,478
+634
+8% +$141K 0.23% 90
2019
Q2
$1.78M Buy
7,844
+87
+1% +$19.7K 0.22% 92
2019
Q1
$1.48M Buy
7,757
+147
+2% +$28.1K 0.19% 103
2018
Q4
$1.22M Buy
7,610
+1,365
+22% +$218K 0.19% 115
2018
Q3
$1.04M Buy
6,245
+419
+7% +$70K 0.14% 143
2018
Q2
$907K Buy
5,826
+355
+6% +$55.3K 0.15% 152
2018
Q1
$870K Buy
5,471
+297
+6% +$47.2K 0.16% 138
2017
Q4
$868K Buy
5,174
+324
+7% +$54.4K 0.16% 147
2017
Q3
$733K Sell
4,850
-53
-1% -$8.01K 0.14% 153
2017
Q2
$701K Buy
4,903
+1,195
+32% +$171K 0.16% 151
2017
Q1
$502K Sell
3,708
-210
-5% -$28.4K 0.13% 188
2016
Q4
$563K Sell
3,918
-233
-6% -$33.5K 0.17% 151
2016
Q3
$577K Buy
4,151
+89
+2% +$12.4K 0.19% 136
2016
Q2
$534K Buy
4,062
+61
+2% +$8.02K 0.19% 136
2016
Q1
$533K Sell
4,001
-1,310
-25% -$175K 0.2% 130
2015
Q4
$639K Buy
5,311
+1,638
+45% +$197K 0.22% 122
2015
Q3
$434K Sell
3,673
-138
-4% -$16.3K 0.18% 143
2015
Q2
$527K Buy
3,811
+87
+2% +$12K 0.2% 148
2015
Q1
$521K Sell
3,724
-38
-1% -$5.32K 0.22% 132
2014
Q4
$499K Buy
3,762
+525
+16% +$69.6K 0.22% 133
2014
Q3
$390K Sell
3,237
-58
-2% -$6.99K 0.22% 127
2014
Q2
$392K Buy
3,295
+56
+2% +$6.66K 0.19% 150
2014
Q1
$357K Buy
3,239
+42
+1% +$4.63K 0.2% 156
2013
Q4
$330K Buy
3,197
+104
+3% +$10.7K 0.19% 161
2013
Q3
$305K Buy
3,093
+145
+5% +$14.3K 0.22% 147
2013
Q2
$250K Buy
+2,948
New +$250K 0.2% 152