Baird Financial Group
TYL icon

Baird Financial Group’s Tyler Technologies TYL Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$52.1M Sell
87,831
-6,898
-7% -$4.09M 0.09% 183
2025
Q1
$55.1M Sell
94,729
-17,950
-16% -$10.4M 0.11% 157
2024
Q4
$65M Sell
112,679
-38,623
-26% -$22.3M 0.12% 144
2024
Q3
$88.3M Sell
151,302
-36,503
-19% -$21.3M 0.17% 114
2024
Q2
$94.4M Sell
187,805
-14,200
-7% -$7.14M 0.2% 107
2024
Q1
$85.9M Sell
202,005
-656
-0.3% -$279K 0.18% 127
2023
Q4
$84.7M Sell
202,661
-1,046
-0.5% -$437K 0.19% 123
2023
Q3
$78.7M Buy
203,707
+8,230
+4% +$3.18M 0.21% 105
2023
Q2
$81.4M Buy
195,477
+1,637
+0.8% +$682K 0.21% 106
2023
Q1
$68.7M Buy
193,840
+6,072
+3% +$2.15M 0.17% 142
2022
Q4
$60.5M Sell
187,768
-1,432
-0.8% -$462K 0.16% 147
2022
Q3
$65.7M Buy
189,200
+7,746
+4% +$2.69M 0.19% 127
2022
Q2
$60.3M Buy
181,454
+2,917
+2% +$970K 0.17% 139
2022
Q1
$79.4M Buy
178,537
+636
+0.4% +$283K 0.2% 114
2021
Q4
$95.7M Sell
177,901
-5,428
-3% -$2.92M 0.22% 102
2021
Q3
$84.1M Sell
183,329
-228
-0.1% -$105K 0.22% 114
2021
Q2
$83M Buy
183,557
+273
+0.1% +$123K 0.22% 115
2021
Q1
$77.8M Buy
183,284
+22,400
+14% +$9.51M 0.22% 116
2020
Q4
$70.2M Sell
160,884
-2,373
-1% -$1.04M 0.21% 128
2020
Q3
$56.9M Sell
163,257
-6,503
-4% -$2.27M 0.2% 140
2020
Q2
$58.9M Sell
169,760
-7,126
-4% -$2.47M 0.22% 124
2020
Q1
$52.5M Sell
176,886
-118,112
-40% -$35M 0.24% 107
2019
Q4
$88.5M Sell
294,998
-11,579
-4% -$3.47M 0.32% 65
2019
Q3
$80.5M Sell
306,577
-821
-0.3% -$216K 0.32% 66
2019
Q2
$66.4M Buy
307,398
+33,245
+12% +$7.18M 0.26% 88
2019
Q1
$56M Buy
274,153
+9,536
+4% +$1.95M 0.33% 79
2018
Q4
$49.2M Buy
264,617
+7,535
+3% +$1.4M 0.33% 74
2018
Q3
$61.6M Buy
257,082
+2,004
+0.8% +$481K 0.39% 60
2018
Q2
$56.7M Sell
255,078
-3,312
-1% -$736K 0.38% 57
2018
Q1
$54.5M Sell
258,390
-7,018
-3% -$1.48M 0.38% 59
2017
Q4
$47M Sell
265,408
-3,559
-1% -$630K 0.33% 86
2017
Q3
$46.9M Buy
268,967
+23,440
+10% +$4.09M 0.35% 71
2017
Q2
$43.1M Sell
245,527
-6,913
-3% -$1.21M 0.34% 85
2017
Q1
$39M Sell
252,440
-4,175
-2% -$645K 0.32% 89
2016
Q4
$36.6M Buy
256,615
+22,238
+9% +$3.17M 0.32% 89
2016
Q3
$40.1M Sell
234,377
-63,943
-21% -$10.9M 0.36% 74
2016
Q2
$49.7M Buy
298,320
+14,690
+5% +$2.45M 0.46% 51
2016
Q1
$36.5M Buy
283,630
+111,535
+65% +$14.3M 0.35% 78
2015
Q4
$30M Sell
172,095
-4,611
-3% -$804K 0.3% 99
2015
Q3
$26.4M Buy
+176,706
New +$26.4M 0.28% 105