Anchor Investment Management’s British American Tobacco BTI Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$534K Sell
11,283
-559
-5% -$26.5K 0.05% 252
2025
Q1
$490K Sell
11,842
-2,238
-16% -$92.6K 0.05% 256
2024
Q4
$511K Sell
14,080
-687
-5% -$25K 0.05% 252
2024
Q3
$540K Buy
14,767
+13
+0.1% +$476 0.05% 248
2024
Q2
$456K Buy
14,754
+2,015
+16% +$62.3K 0.05% 249
2024
Q1
$389K Sell
12,739
-1,835
-13% -$56K 0.04% 272
2023
Q4
$427K Sell
14,574
-4,037
-22% -$118K 0.05% 258
2023
Q3
$585K Sell
18,611
-497
-3% -$15.6K 0.08% 211
2023
Q2
$634K Buy
19,108
+11
+0.1% +$365 0.08% 204
2023
Q1
$671K Buy
19,097
+2,875
+18% +$101K 0.09% 192
2022
Q4
$649K Buy
16,222
+509
+3% +$20.4K 0.09% 200
2022
Q3
$558K Buy
15,713
+258
+2% +$9.16K 0.09% 210
2022
Q2
$663K Sell
15,455
-36
-0.2% -$1.55K 0.1% 190
2022
Q1
$653K Buy
15,491
+1,058
+7% +$44.6K 0.08% 210
2021
Q4
$540K Buy
14,433
+2,647
+22% +$99K 0.07% 235
2021
Q3
$416K Buy
11,786
+6,900
+141% +$243K 0.06% 254
2021
Q2
$192K Sell
4,886
-182
-4% -$7.15K 0.03% 369
2021
Q1
$196K Sell
5,068
-441
-8% -$17.1K 0.03% 348
2020
Q4
$207K Sell
5,509
-1,300
-19% -$48.7K 0.04% 296
2020
Q3
$246K Sell
6,809
-69
-1% -$2.49K 0.05% 245
2020
Q2
$267K Sell
6,878
-988
-13% -$38.4K 0.06% 220
2020
Q1
$269K Sell
7,866
-603
-7% -$20.6K 0.07% 205
2019
Q4
$360K Sell
8,469
-2,140
-20% -$90.9K 0.08% 207
2019
Q3
$391K Sell
10,609
-998
-9% -$36.8K 0.09% 197
2019
Q2
$405K Sell
11,607
-691
-6% -$24.1K 0.1% 195
2019
Q1
$513K Sell
12,298
-1,382
-10% -$57.7K 0.13% 168
2018
Q4
$436K Sell
13,680
-705
-5% -$22.5K 0.12% 173
2018
Q3
$671K Buy
14,385
+2,232
+18% +$104K 0.15% 150
2018
Q2
$613K Buy
12,153
+5,357
+79% +$270K 0.15% 152
2018
Q1
$392K Sell
6,796
-226
-3% -$13K 0.1% 209
2017
Q4
$470K Buy
7,022
+707
+11% +$47.4K 0.12% 179
2017
Q3
$394K Buy
6,315
+4,145
+191% +$259K 0.12% 185
2017
Q2
$149K Buy
2,170
+250
+13% +$17.1K 0.05% 279
2017
Q1
$127K Hold
1,920
0.04% 291
2016
Q4
$108K Hold
1,920
0.04% 301
2016
Q3
$123K Hold
1,920
0.05% 270
2016
Q2
$124K Sell
1,920
-70
-4% -$4.53K 0.05% 266
2016
Q1
$116K Buy
+1,990
New +$116K 0.05% 265