Baird Financial Group’s Federal Signal FSS Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$6.51M Sell
61,178
-7,041
-10% -$749K 0.01% 632
2025
Q1
$5.02M Buy
68,219
+2,895
+4% +$213K 0.01% 685
2024
Q4
$6.04M Sell
65,324
-241
-0.4% -$22.3K 0.01% 623
2024
Q3
$6.13M Buy
65,565
+18,339
+39% +$1.71M 0.01% 616
2024
Q2
$3.95M Buy
47,226
+33,236
+238% +$2.78M 0.01% 729
2024
Q1
$1.19M Buy
13,990
+8,006
+134% +$679K ﹤0.01% 1108
2023
Q4
$459K Sell
5,984
-350
-6% -$26.9K ﹤0.01% 1375
2023
Q3
$378K Sell
6,334
-6,076
-49% -$363K ﹤0.01% 1435
2023
Q2
$795K Hold
12,410
﹤0.01% 1191
2023
Q1
$673K Hold
12,410
﹤0.01% 1214
2022
Q4
$576K Sell
12,410
-506
-4% -$23.5K ﹤0.01% 1241
2022
Q3
$482K Sell
12,916
-55,895
-81% -$2.09M ﹤0.01% 1300
2022
Q2
$2.45M Sell
68,811
-85
-0.1% -$3.03K 0.01% 781
2022
Q1
$2.33M Buy
68,896
+1,943
+3% +$65.6K 0.01% 842
2021
Q4
$2.9M Buy
66,953
+401
+0.6% +$17.4K 0.01% 793
2021
Q3
$2.57M Buy
66,552
+1,084
+2% +$41.9K 0.01% 840
2021
Q2
$2.63M Buy
65,468
+851
+1% +$34.2K 0.01% 801
2021
Q1
$2.48M Buy
64,617
+4,697
+8% +$180K 0.01% 800
2020
Q4
$1.99M Buy
59,920
+1,327
+2% +$44K 0.01% 807
2020
Q3
$1.71M Sell
58,593
-1,263
-2% -$36.9K 0.01% 785
2020
Q2
$1.78M Buy
59,856
+1,753
+3% +$52.1K 0.01% 757
2020
Q1
$1.59M Buy
58,103
+42,977
+284% +$1.17M 0.01% 756
2019
Q4
$488K Buy
+15,126
New +$488K ﹤0.01% 1187
2018
Q3
Sell
-41,679
Closed -$971K 1337
2018
Q2
$971K Sell
41,679
-31,450
-43% -$733K 0.01% 837
2018
Q1
$1.61M Sell
73,129
-4
-0% -$88 0.01% 691
2017
Q4
$1.47M Hold
73,133
0.01% 717
2017
Q3
$1.56M Sell
73,133
-8
-0% -$170 0.01% 674
2017
Q2
$1.27M Sell
73,141
-44,440
-38% -$772K 0.01% 731
2017
Q1
$1.62M Hold
117,581
0.01% 644
2016
Q4
$1.84M Hold
117,581
0.02% 592
2016
Q3
$1.56M Hold
117,581
0.01% 621
2016
Q2
$1.51M Buy
117,581
+9,786
+9% +$126K 0.01% 625
2016
Q1
$1.43M Hold
107,795
0.01% 616
2015
Q4
$1.71M Hold
107,795
0.02% 564
2015
Q3
$1.48M Buy
107,795
+68,111
+172% +$934K 0.02% 592
2015
Q2
$592K Buy
+39,684
New +$592K 0.01% 903