Amalgamated Bank’s Franklin Electric FELE Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$1M Sell
11,177
-220
-2% -$19.7K 0.01% 1040
2025
Q1
$1.07M Sell
11,397
-321
-3% -$30.1K 0.01% 1001
2024
Q4
$1.14M Sell
11,718
-21
-0.2% -$2.05K 0.01% 1008
2024
Q3
$1.23M Sell
11,739
-601
-5% -$63K 0.01% 978
2024
Q2
$1.19M Sell
12,340
-440
-3% -$42.4K 0.01% 990
2024
Q1
$1.37M Sell
12,780
-5,100
-29% -$545K 0.01% 963
2023
Q4
$1.73M Sell
17,880
-782
-4% -$75.6K 0.01% 969
2023
Q3
$1.67M Sell
18,662
-159
-0.8% -$14.2K 0.01% 938
2023
Q2
$1.94M Sell
18,821
-101
-0.5% -$10.4K 0.02% 902
2023
Q1
$1.78M Sell
18,922
-1,283
-6% -$121K 0.02% 910
2022
Q4
$1.61M Sell
20,205
-70
-0.3% -$5.58K 0.01% 977
2022
Q3
$1.66M Buy
20,275
+424
+2% +$34.7K 0.02% 919
2022
Q2
$1.45M Sell
19,851
-582
-3% -$42.6K 0.01% 988
2022
Q1
$1.7M Sell
20,433
-1,059
-5% -$88K 0.01% 992
2021
Q4
$2.03M Sell
21,492
-349
-2% -$33K 0.02% 933
2021
Q3
$1.74M Sell
21,841
-304
-1% -$24.3K 0.01% 992
2021
Q2
$1.79M Buy
22,145
+15,437
+230% +$1.24M 0.01% 1015
2021
Q1
$530K Sell
6,708
-595
-8% -$47K 0.02% 943
2020
Q4
$505K Buy
7,303
+61
+0.8% +$4.22K 0.02% 963
2020
Q3
$426K Sell
7,242
-220
-3% -$12.9K 0.02% 925
2020
Q2
$392K Sell
7,462
-1,057
-12% -$55.5K 0.02% 959
2020
Q1
$402K Sell
8,519
-287
-3% -$13.5K 0.01% 1005
2019
Q4
$505K Buy
8,806
+381
+5% +$21.8K 0.01% 1104
2019
Q3
$403K Sell
8,425
-139
-2% -$6.65K 0.01% 1160
2019
Q2
$407K Buy
8,564
+1,174
+16% +$55.8K 0.01% 1190
2019
Q1
$378K Buy
7,390
+241
+3% +$12.3K 0.01% 1133
2018
Q4
$307K Buy
+7,149
New +$307K 0.01% 1156
2018
Q3
Sell
-7,426
Closed -$335K 1509
2018
Q2
$335K Buy
7,426
+839
+13% +$37.8K 0.01% 1250
2018
Q1
$268K Sell
6,587
-105
-2% -$4.27K 0.01% 1282
2017
Q4
$307K Buy
6,692
+400
+6% +$18.4K 0.01% 1254
2017
Q3
$282K Sell
6,292
-32
-0.5% -$1.43K 0.01% 1247
2017
Q2
$262K Buy
6,324
+298
+5% +$12.3K 0.01% 1274
2017
Q1
$259K Sell
6,026
-19
-0.3% -$817 0.01% 1231
2016
Q4
$235K Buy
6,045
+789
+15% +$30.7K 0.01% 1290
2016
Q3
$214K Buy
5,256
+2
+0% +$81 0.01% 1229
2016
Q2
$202K Buy
+5,254
New +$202K 0.01% 1260
2014
Q1
Sell
-4,697
Closed -$210K 845
2013
Q4
$210K Buy
+4,697
New +$210K 0.04% 747