Arrow Financial’s Hershey HSY Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q1
Sell
-3,488
Closed -$591K 161
2024
Q4
$591K Sell
3,488
-501
-13% -$84.8K 0.06% 124
2024
Q3
$765K Buy
3,989
+25
+0.6% +$4.79K 0.07% 117
2024
Q2
$729K Buy
3,964
+1,289
+48% +$237K 0.07% 121
2024
Q1
$520K Buy
+2,675
New +$520K 0.05% 131
2022
Q2
Sell
-25
Closed -$5K 358
2022
Q1
$5K Hold
25
﹤0.01% 327
2021
Q4
$5K Sell
25
-1,125
-98% -$225K ﹤0.01% 308
2021
Q3
$195K Hold
1,150
0.03% 164
2021
Q2
$200K Hold
1,150
0.03% 166
2021
Q1
$182K Hold
1,150
0.02% 170
2020
Q4
$175K Hold
1,150
0.03% 157
2020
Q3
$165K Sell
1,150
-50
-4% -$7.17K 0.03% 156
2020
Q2
$156K Hold
1,200
0.03% 165
2020
Q1
$159K Hold
1,200
0.04% 156
2019
Q4
$176K Hold
1,200
0.03% 165
2019
Q3
$186K Hold
1,200
0.04% 164
2019
Q2
$161K Hold
1,200
0.03% 174
2019
Q1
$138K Hold
1,200
0.03% 182
2018
Q4
$129K Sell
1,200
-63
-5% -$6.77K 0.03% 172
2018
Q3
$129K Sell
1,263
-70
-5% -$7.15K 0.03% 183
2018
Q2
$125K Sell
1,333
-610
-31% -$57.2K 0.03% 175
2018
Q1
$192K Sell
1,943
-1,880
-49% -$186K 0.04% 163
2017
Q4
$434K Buy
3,823
+120
+3% +$13.6K 0.1% 133
2017
Q3
$404K Sell
3,703
-1,465
-28% -$160K 0.1% 133
2017
Q2
$555K Buy
5,168
+2,153
+71% +$231K 0.13% 123
2017
Q1
$329K Hold
3,015
0.08% 141
2016
Q4
$312K Sell
3,015
-42
-1% -$4.35K 0.08% 138
2016
Q3
$292K Hold
3,057
0.07% 143
2016
Q2
$347K Sell
3,057
-196
-6% -$22.2K 0.09% 140
2016
Q1
$300K Sell
3,253
-337
-9% -$31.1K 0.08% 142
2015
Q4
$321K Sell
3,590
-1,340
-27% -$120K 0.09% 132
2015
Q3
$453K Sell
4,930
-4,729
-49% -$435K 0.13% 120
2015
Q2
$857K Sell
9,659
-2,022
-17% -$179K 0.23% 95
2015
Q1
$1.18M Buy
11,681
+1,167
+11% +$118K 0.32% 90
2014
Q4
$1.09M Buy
10,514
+1,790
+21% +$186K 0.3% 93
2014
Q3
$832K Buy
8,724
+505
+6% +$48.2K 0.23% 111
2014
Q2
$800K Sell
8,219
-5
-0.1% -$487 0.22% 119
2014
Q1
$859K Buy
8,224
+590
+8% +$61.6K 0.24% 112
2013
Q4
$741K Buy
7,634
+105
+1% +$10.2K 0.21% 114
2013
Q3
$696K Buy
7,529
+944
+14% +$87.3K 0.21% 110
2013
Q2
$587K Buy
+6,585
New +$587K 0.19% 116