Advisory Services Network’s Las Vegas Sands LVS Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$1.23M Buy
23,429
+7,622
+48% +$399K 0.02% 740
2025
Q1
$611K Buy
15,807
+1,004
+7% +$38.8K 0.01% 968
2024
Q4
$760K Buy
+14,803
New +$760K 0.01% 863
2024
Q1
Sell
-2,201
Closed -$108K 2738
2023
Q4
$108K Sell
2,201
-5,624
-72% -$277K ﹤0.01% 1604
2023
Q3
$359K Sell
7,825
-8,201
-51% -$376K 0.01% 1061
2023
Q2
$930K Buy
16,026
+13,924
+662% +$808K 0.02% 651
2023
Q1
$121K Buy
2,102
+64
+3% +$3.68K ﹤0.01% 1549
2022
Q4
$98K Buy
+2,038
New +$98K ﹤0.01% 1634
2022
Q1
Sell
-21,500
Closed -$810K 1510
2021
Q4
$810K Sell
21,500
-1,065
-5% -$40.1K 0.02% 698
2021
Q3
$826K Buy
22,565
+9,898
+78% +$362K 0.03% 675
2021
Q2
$667K Buy
+12,667
New +$667K 0.02% 760
2021
Q1
Sell
-1,742
Closed -$104K 2397
2020
Q4
$104K Sell
1,742
-1,667
-49% -$99.5K ﹤0.01% 1317
2020
Q3
$160K Sell
3,409
-13,981
-80% -$656K 0.01% 1055
2020
Q2
$792K Buy
17,390
+6,509
+60% +$296K 0.04% 447
2020
Q1
$462K Buy
10,881
+1,664
+18% +$70.7K 0.03% 543
2019
Q4
$635K Buy
9,217
+2,824
+44% +$195K 0.03% 547
2019
Q3
$378K Hold
6,393
0.02% 630
2019
Q2
$378K Buy
6,393
+2,244
+54% +$133K 0.02% 628
2019
Q1
$253K Buy
4,149
+2,255
+119% +$138K 0.02% 717
2018
Q4
$98K Buy
1,894
+1,154
+156% +$59.7K 0.01% 905
2018
Q3
$44K Buy
740
+207
+39% +$12.3K ﹤0.01% 1278
2018
Q2
$38K Sell
533
-4,284
-89% -$305K ﹤0.01% 1308
2018
Q1
$346K Sell
4,817
-842
-15% -$60.5K 0.03% 620
2017
Q4
$393K Buy
5,659
+304
+6% +$21.1K 0.03% 562
2017
Q3
$344K Buy
5,355
+110
+2% +$7.07K 0.04% 491
2017
Q2
$335K Buy
5,245
+329
+7% +$21K 0.04% 480
2017
Q1
$281K Buy
+4,916
New +$281K 0.04% 502
2016
Q3
$136K Buy
2,366
+205
+9% +$11.8K 0.03% 613
2016
Q2
$94K Buy
2,161
+1,168
+118% +$50.8K 0.02% 634
2016
Q1
$51K Buy
993
+146
+17% +$7.5K 0.01% 657
2015
Q4
$37K Sell
847
-685
-45% -$29.9K 0.01% 651
2015
Q3
$58K Buy
1,532
+365
+31% +$13.8K 0.02% 502
2015
Q2
$63K Hold
1,167
0.02% 463
2015
Q1
$66K Sell
1,167
-175
-13% -$9.9K 0.02% 445
2014
Q4
$71K Buy
+1,342
New +$71K 0.02% 378
2014
Q1
Sell
-6,627
Closed -$523K 555
2013
Q4
$523K Buy
+6,627
New +$523K 0.26% 87