Advisors Preferred’s iShares Short Maturity Bond ETF NEAR Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$186K Buy
+3,665
New +$186K 0.03% 155
2022
Q3
Sell
-61,370
Closed -$3.02M 167
2022
Q2
$3.02M Sell
61,370
-1,400
-2% -$69K 0.79% 21
2022
Q1
$3.11M Buy
62,770
+13,480
+27% +$668K 0.25% 36
2021
Q4
$2.46M Buy
49,290
+6,550
+15% +$327K 0.24% 58
2021
Q3
$2.14M Sell
42,740
-20,780
-33% -$1.04M 0.3% 42
2021
Q2
$3.19M Buy
63,520
+6,870
+12% +$344K 0.32% 40
2021
Q1
$2.84M Sell
56,650
-8,640
-13% -$433K 0.41% 32
2020
Q4
$3.28M Sell
65,290
-20,310
-24% -$1.02M 0.61% 33
2020
Q3
$4.29M Buy
85,600
+30,930
+57% +$1.55M 0.85% 20
2020
Q2
$2.73M Buy
54,670
+13,780
+34% +$689K 0.76% 23
2020
Q1
$1.98M Buy
+40,890
New +$1.98M 1.22% 25
2019
Q4
Sell
-21,800
Closed -$1.1M 294
2019
Q3
$1.1M Buy
21,800
+2,930
+16% +$147K 0.27% 36
2019
Q2
$948K Sell
18,870
-2,060
-10% -$103K 0.32% 45
2019
Q1
$814K Buy
20,930
+14,230
+212% +$553K 0.26% 46
2018
Q4
$334K Sell
6,700
-910
-12% -$45.4K 0.4% 44
2018
Q3
$382K Sell
7,610
-3,540
-32% -$178K 0.17% 56
2018
Q2
$559K Sell
11,150
-2,600
-19% -$130K 0.25% 48
2018
Q1
$390K Buy
13,750
+11,490
+508% +$326K 0.18% 53
2017
Q4
$113K Sell
2,260
-100
-4% -$5K 0.05% 116
2017
Q3
$119K Sell
2,360
-14,650
-86% -$739K 0.07% 97
2017
Q2
$855K Buy
17,010
+80
+0.5% +$4.02K 0.47% 41
2017
Q1
$851 Buy
16,930
+6,150
+57% +$309 0.45% 35
2016
Q4
$541K Sell
10,780
-12,160
-53% -$610K 0.28% 42
2016
Q3
$1.15M Buy
22,940
+8,230
+56% +$413K 0.54% 38
2016
Q2
$738K Buy
14,710
+950
+7% +$47.7K 0.43% 44
2016
Q1
$688K Buy
13,760
+1,680
+14% +$84K 0.34% 43
2015
Q4
$604K Sell
12,080
-1,980
-14% -$99K 0.33% 42
2015
Q3
$704K Sell
14,060
-1,460
-9% -$73.1K 0.77% 35
2015
Q2
$778K Sell
15,520
-950
-6% -$47.6K 0.44% 57
2015
Q1
$826K Buy
16,470
+670
+4% +$33.6K 0.44% 65
2014
Q4
$790K Buy
+15,800
New +$790K 0.37% 69