Advisor Partners’s Yum! Brands YUM Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q2
$1.83M Buy
16,118
+1,588
+11% +$180K 0.13% 164
2022
Q1
$1.72M Sell
14,530
-942
-6% -$112K 0.11% 192
2021
Q4
$2.15M Buy
15,472
+841
+6% +$117K 0.13% 157
2021
Q3
$1.79M Sell
14,631
-441
-3% -$53.9K 0.12% 168
2021
Q2
$1.73M Buy
15,072
+1,413
+10% +$163K 0.11% 175
2021
Q1
$1.48M Sell
13,659
-433
-3% -$46.9K 0.11% 186
2020
Q4
$1.53M Sell
14,092
-490
-3% -$53.2K 0.12% 175
2020
Q3
$1.33M Sell
14,582
-193
-1% -$17.6K 0.11% 168
2020
Q2
$1.28M Buy
14,775
+270
+2% +$23.5K 0.12% 169
2020
Q1
$994K Sell
14,505
-950
-6% -$65.1K 0.12% 169
2019
Q4
$1.57M Buy
15,455
+1,793
+13% +$182K 0.16% 134
2019
Q3
$1.55M Buy
13,662
+2,723
+25% +$309K 0.19% 117
2019
Q2
$1.21M Buy
10,939
+1,640
+18% +$182K 0.15% 132
2019
Q1
$928K Buy
9,299
+184
+2% +$18.4K 0.12% 170
2018
Q4
$838K Buy
9,115
+546
+6% +$50.2K 0.13% 167
2018
Q3
$779K Buy
8,569
+553
+7% +$50.3K 0.1% 199
2018
Q2
$627K Buy
8,016
+806
+11% +$63K 0.11% 223
2018
Q1
$614K Sell
7,210
-591
-8% -$50.3K 0.11% 215
2017
Q4
$654K Buy
7,801
+168
+2% +$14.1K 0.12% 204
2017
Q3
$562K Sell
7,633
-156
-2% -$11.5K 0.11% 195
2017
Q2
$575K Buy
7,789
+788
+11% +$58.2K 0.14% 187
2017
Q1
$447K Buy
7,001
+7
+0.1% +$447 0.12% 215
2016
Q4
$443K Sell
6,994
-2,800
-29% -$177K 0.13% 185
2016
Q3
$639K Buy
9,794
+1,889
+24% +$123K 0.21% 121
2016
Q2
$471K Buy
7,905
+1,053
+15% +$62.7K 0.16% 156
2016
Q1
$403K Buy
6,852
+2,363
+53% +$139K 0.15% 168
2015
Q4
$236K Sell
4,489
-743
-14% -$39.1K 0.08% 269
2015
Q3
$301K Sell
5,232
-656
-11% -$37.7K 0.13% 196
2015
Q2
$341K Buy
5,888
+988
+20% +$57.2K 0.13% 202
2015
Q1
$277K Buy
4,900
+616
+14% +$34.8K 0.12% 229
2014
Q4
$224K Sell
4,284
-121
-3% -$6.33K 0.1% 270
2014
Q3
$228K Sell
4,405
-177
-4% -$9.16K 0.13% 198
2014
Q2
$267K Buy
4,582
+346
+8% +$20.2K 0.13% 205
2014
Q1
$230K Buy
4,236
+114
+3% +$6.19K 0.13% 228
2013
Q4
$224K Sell
4,122
-1,303
-24% -$70.8K 0.13% 219
2013
Q3
$278K Buy
5,425
+177
+3% +$9.07K 0.2% 162
2013
Q2
$262K Buy
+5,248
New +$262K 0.21% 147