Arvest Bank Trust Division’s Philip Morris PM Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$837K Sell
4,598
-10
-0.2% -$1.82K 0.05% 123
2025
Q1
$731K Buy
4,608
+130
+3% +$20.6K 0.05% 118
2024
Q4
$539K Buy
4,478
+345
+8% +$41.5K 0.03% 128
2024
Q3
$502K Buy
+4,133
New +$502K 0.03% 124
2021
Q3
$654K Buy
6,896
+2,567
+59% +$243K 0.04% 110
2021
Q2
$429K Buy
4,329
+680
+19% +$67.4K 0.02% 118
2021
Q1
$324K Buy
3,649
+642
+21% +$57K 0.02% 123
2020
Q4
$249K Sell
3,007
-400
-12% -$33.1K 0.02% 126
2020
Q3
$256K Sell
3,407
-100
-3% -$7.51K 0.02% 112
2020
Q2
$246K Sell
3,507
-703
-17% -$49.3K 0.02% 106
2020
Q1
$307K Sell
4,210
-240
-5% -$17.5K 0.03% 93
2019
Q4
$378K Sell
4,450
-50
-1% -$4.25K 0.02% 102
2019
Q3
$341K Hold
4,500
0.02% 111
2019
Q2
$354K Sell
4,500
-900
-17% -$70.8K 0.02% 97
2019
Q1
$477K Buy
5,400
+900
+20% +$79.5K 0.03% 83
2018
Q4
$300K Hold
4,500
0.02% 102
2018
Q3
$367K Sell
4,500
-340
-7% -$27.7K 0.02% 102
2018
Q2
$390K Buy
4,840
+467
+11% +$37.6K 0.03% 91
2018
Q1
$435K Buy
4,373
+1,798
+70% +$179K 0.03% 87
2017
Q4
$272K Hold
2,575
0.02% 97
2017
Q3
$286K Sell
2,575
-159
-6% -$17.7K 0.02% 100
2017
Q2
$321K Buy
2,734
+68
+3% +$7.98K 0.02% 98
2017
Q1
$301K Sell
2,666
-1,207
-31% -$136K 0.02% 98
2016
Q4
$354K Sell
3,873
-645
-14% -$59K 0.03% 94
2016
Q3
$439K Buy
4,518
+570
+14% +$55.4K 0.04% 84
2016
Q2
$402K Buy
3,948
+447
+13% +$45.5K 0.03% 86
2016
Q1
$343K Sell
3,501
-716
-17% -$70.1K 0.03% 97
2015
Q4
$371K Sell
4,217
-905
-18% -$79.6K 0.03% 88
2015
Q3
$406K Buy
5,122
+448
+10% +$35.5K 0.04% 83
2015
Q2
$375K Buy
4,674
+468
+11% +$37.5K 0.03% 89
2015
Q1
$317K Buy
4,206
+312
+8% +$23.5K 0.03% 91
2014
Q4
$339K Sell
3,894
-12
-0.3% -$1.05K 0.03% 88
2014
Q3
$326K Buy
+3,906
New +$326K 0.03% 91