Berkshire Asset Management’s Synovus SNV Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$633K Hold
12,241
0.03% 168
2025
Q1
$568K Hold
12,241
0.03% 175
2024
Q4
$677K Buy
12,241
+2,161
+21% +$120K 0.03% 168
2024
Q3
$405K Hold
10,080
0.02% 206
2024
Q2
$405K Buy
+10,080
New +$405K 0.02% 206
2022
Q2
Sell
-4,441
Closed -$218K 234
2022
Q1
$218K Sell
4,441
-416
-9% -$20.4K 0.01% 191
2021
Q4
$233K Sell
4,857
-228
-4% -$10.9K 0.01% 221
2021
Q3
$223K Hold
5,085
0.01% 223
2021
Q2
$223K Hold
5,085
0.02% 219
2021
Q1
$233K Buy
+5,085
New +$233K 0.02% 211
2020
Q2
Sell
-10,435
Closed -$183K 186
2020
Q1
$183K Buy
10,435
+1,742
+20% +$30.6K 0.02% 194
2019
Q4
$341K Sell
8,693
-11,104
-56% -$436K 0.03% 147
2019
Q3
$708K Sell
19,797
-200
-1% -$7.15K 0.06% 124
2019
Q2
$700K Buy
19,997
+1,000
+5% +$35K 0.06% 121
2019
Q1
$653K Hold
18,997
0.06% 133
2018
Q4
$608K Hold
18,997
0.06% 128
2018
Q3
$870K Sell
18,997
-94
-0.5% -$4.31K 0.07% 119
2018
Q2
$1.01M Hold
19,091
0.09% 104
2018
Q1
$953K Hold
19,091
0.09% 105
2017
Q4
$915K Sell
19,091
-62
-0.3% -$2.97K 0.09% 107
2017
Q3
$882K Hold
19,153
0.1% 101
2017
Q2
$847K Hold
19,153
0.1% 102
2017
Q1
$786K Sell
19,153
-1,209
-6% -$49.6K 0.09% 106
2016
Q4
$836K Sell
20,362
-82,969
-80% -$3.41M 0.11% 96
2016
Q3
$3.36M Sell
103,331
-2,779
-3% -$90.4K 0.48% 54
2016
Q2
$3.08M Sell
106,110
-3,690
-3% -$107K 0.47% 55
2016
Q1
$3.17M Buy
109,800
+2,248
+2% +$65K 0.49% 52
2015
Q4
$3.48M Sell
107,552
-834
-0.8% -$27K 0.58% 52
2015
Q3
$3.21M Sell
108,386
-2,428
-2% -$71.9K 0.57% 52
2015
Q2
$3.42M Buy
110,814
+13
+0% +$401 0.57% 55
2015
Q1
$3.1M Sell
110,801
-2,214
-2% -$62K 0.52% 54
2014
Q4
$3.06M Sell
113,015
-2,113
-2% -$57.2K 0.53% 53
2014
Q3
$2.72M Sell
115,128
-2,187
-2% -$51.7K 0.5% 56
2014
Q2
$2.86M Sell
117,315
-1,064
-0.9% -$25.9K 0.53% 54
2014
Q1
$2.81M Sell
118,379
-33,210
-22% -$788K 0.54% 52
2013
Q4
$3.82M Buy
151,589
+9,345
+7% +$235K 0.72% 49
2013
Q3
$3.29M Buy
142,244
+29,212
+26% +$675K 0.79% 47
2013
Q2
$2.31M Buy
+113,032
New +$2.31M 0.64% 47