Amalgamated Bank’s Cirrus Logic CRUS Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$2.53M Sell
24,298
-378
-2% -$39.4K 0.02% 689
2025
Q1
$2.46M Sell
24,676
-849
-3% -$84.6K 0.02% 689
2024
Q4
$2.54M Hold
25,525
0.02% 711
2024
Q3
$3.17M Sell
25,525
-8,246
-24% -$1.02M 0.03% 614
2024
Q2
$4.31M Sell
33,771
-3,005
-8% -$384K 0.04% 496
2024
Q1
$3.4M Buy
36,776
+1,174
+3% +$109K 0.03% 657
2023
Q4
$2.96M Sell
35,602
-3,321
-9% -$276K 0.02% 749
2023
Q3
$2.88M Buy
38,923
+2,880
+8% +$213K 0.02% 715
2023
Q2
$2.92M Sell
36,043
-1,898
-5% -$154K 0.02% 716
2023
Q1
$4.15M Sell
37,941
-10,352
-21% -$1.13M 0.04% 530
2022
Q4
$3.6M Buy
48,293
+8,200
+20% +$611K 0.03% 650
2022
Q3
$2.76M Sell
40,093
-3,933
-9% -$271K 0.03% 686
2022
Q2
$3.19M Buy
44,026
+4,468
+11% +$324K 0.03% 662
2022
Q1
$3.35M Sell
39,558
-1,433
-3% -$122K 0.03% 700
2021
Q4
$3.77M Sell
40,991
-1,008
-2% -$92.8K 0.03% 667
2021
Q3
$3.46M Sell
41,999
-4,215
-9% -$347K 0.03% 694
2021
Q2
$3.93M Buy
46,214
+39,006
+541% +$3.32M 0.03% 663
2021
Q1
$611K Sell
7,208
-481
-6% -$40.8K 0.02% 872
2020
Q4
$632K Sell
7,689
-59
-0.8% -$4.85K 0.02% 833
2020
Q3
$523K Sell
7,748
-35
-0.4% -$2.36K 0.02% 811
2020
Q2
$481K Sell
7,783
-1,633
-17% -$101K 0.02% 856
2020
Q1
$618K Sell
9,416
-140
-1% -$9.19K 0.02% 816
2019
Q4
$788K Buy
9,556
+441
+5% +$36.4K 0.01% 904
2019
Q3
$488K Sell
9,115
-209
-2% -$11.2K 0.01% 1046
2019
Q2
$407K Buy
9,324
+367
+4% +$16K 0.01% 1189
2019
Q1
$377K Buy
8,957
+19
+0.2% +$800 0.01% 1134
2018
Q4
$297K Buy
8,938
+90
+1% +$2.99K 0.01% 1179
2018
Q3
$342K Sell
8,848
-537
-6% -$20.8K 0.01% 1073
2018
Q2
$360K Buy
9,385
+240
+3% +$9.21K 0.01% 1205
2018
Q1
$372K Sell
9,145
-277
-3% -$11.3K 0.01% 1108
2017
Q4
$489K Buy
9,422
+548
+6% +$28.4K 0.01% 1002
2017
Q3
$473K Sell
8,874
-410
-4% -$21.9K 0.01% 972
2017
Q2
$582K Buy
9,284
+658
+8% +$41.2K 0.02% 884
2017
Q1
$524K Sell
8,626
-9
-0.1% -$547 0.03% 812
2016
Q4
$488K Buy
8,635
+1,080
+14% +$61K 0.02% 849
2016
Q3
$402K Buy
7,555
+309
+4% +$16.4K 0.02% 839
2016
Q2
$369K Buy
7,246
+570
+9% +$29K 0.02% 900
2016
Q1
$243K Buy
+6,676
New +$243K 0.02% 1011
2015
Q4
Sell
-6,643
Closed -$209K 1219
2015
Q3
$209K Buy
6,643
+82
+1% +$2.58K 0.02% 1124
2015
Q2
$223K Buy
+6,561
New +$223K 0.02% 1179