Berkshire Asset Management’s FedEx FDX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$358K Sell
1,573
-123
-7% -$28K 0.02% 216
2025
Q1
$372K Buy
1,696
+144
+9% +$31.6K 0.02% 216
2024
Q4
$424K Sell
1,552
-17
-1% -$4.65K 0.02% 207
2024
Q3
$470K Hold
1,569
0.02% 189
2024
Q2
$470K Sell
1,569
-5
-0.3% -$1.5K 0.02% 190
2024
Q1
$456K Sell
1,574
-91
-5% -$26.4K 0.02% 170
2023
Q4
$421K Sell
1,665
-53
-3% -$13.4K 0.02% 166
2023
Q3
$455K Hold
1,718
0.03% 154
2023
Q2
$426K Sell
1,718
-31
-2% -$7.69K 0.03% 158
2023
Q1
$400K Buy
+1,749
New +$400K 0.02% 157
2022
Q4
Sell
-1,881
Closed -$279K 169
2022
Q3
$279K Sell
1,881
-235
-11% -$34.9K 0.02% 176
2022
Q2
$480K Sell
2,116
-443
-17% -$100K 0.03% 138
2022
Q1
$592K Buy
2,559
+23
+0.9% +$5.32K 0.04% 126
2021
Q4
$656K Buy
2,536
+89
+4% +$23K 0.04% 143
2021
Q3
$537K Buy
2,447
+319
+15% +$70K 0.04% 158
2021
Q2
$635K Sell
2,128
-120
-5% -$35.8K 0.04% 142
2021
Q1
$639K Hold
2,248
0.05% 142
2020
Q4
$584K Buy
2,248
+548
+32% +$142K 0.04% 139
2020
Q3
$428K Sell
1,700
-337
-17% -$84.8K 0.04% 123
2020
Q2
$286K Sell
2,037
-781
-28% -$110K 0.03% 136
2020
Q1
$342K Buy
2,818
+766
+37% +$93K 0.04% 150
2019
Q4
$310K Hold
2,052
0.03% 156
2019
Q3
$299K Sell
2,052
-200
-9% -$29.1K 0.03% 175
2019
Q2
$370K Sell
2,252
-606
-21% -$99.6K 0.03% 157
2019
Q1
$518K Sell
2,858
-30
-1% -$5.44K 0.04% 143
2018
Q4
$466K Sell
2,888
-279
-9% -$45K 0.04% 145
2018
Q3
$763K Buy
3,167
+65
+2% +$15.7K 0.06% 124
2018
Q2
$704K Hold
3,102
0.07% 120
2018
Q1
$745K Sell
3,102
-185
-6% -$44.4K 0.07% 116
2017
Q4
$820K Sell
3,287
-68
-2% -$17K 0.08% 110
2017
Q3
$757K Sell
3,355
-407
-11% -$91.8K 0.08% 107
2017
Q2
$818K Sell
3,762
-700
-16% -$152K 0.09% 104
2017
Q1
$871K Sell
4,462
-80
-2% -$15.6K 0.1% 99
2016
Q4
$846K Buy
4,542
+400
+10% +$74.5K 0.11% 95
2016
Q3
$724K Buy
4,142
+500
+14% +$87.4K 0.1% 103
2016
Q2
$553K Buy
3,642
+700
+24% +$106K 0.08% 113
2016
Q1
$479K Buy
2,942
+880
+43% +$143K 0.07% 105
2015
Q4
$307K Buy
+2,062
New +$307K 0.05% 130