Boston Partners’s Aecom ACM Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$13M Buy
115,593
+8,161
+8% +$921K 0.01% 387
2025
Q1
$9.96M Buy
+107,432
New +$9.96M 0.01% 387
2021
Q3
Sell
-113,691
Closed -$7.2M 673
2021
Q2
$7.2M Sell
113,691
-151,569
-57% -$9.6M 0.01% 375
2021
Q1
$17M Sell
265,260
-268,851
-50% -$17.2M 0.02% 338
2020
Q4
$26.6M Sell
534,111
-88,267
-14% -$4.39M 0.04% 287
2020
Q3
$26M Sell
622,378
-21,398
-3% -$895K 0.05% 274
2020
Q2
$24.1M Buy
643,776
+325,625
+102% +$12.2M 0.04% 277
2020
Q1
$9.5M Buy
318,151
+651
+0.2% +$19.4K 0.02% 336
2019
Q4
$13.7M Buy
317,500
+4,446
+1% +$192K 0.02% 334
2019
Q3
$11.8M Sell
313,054
-5,166
-2% -$194K 0.02% 345
2019
Q2
$12M Sell
318,220
-5,963
-2% -$226K 0.02% 354
2019
Q1
$9.62M Sell
324,183
-6,633
-2% -$197K 0.01% 382
2018
Q4
$8.77M Buy
330,816
+24,483
+8% +$649K 0.01% 385
2018
Q3
$10M Sell
306,333
-38,882
-11% -$1.27M 0.01% 372
2018
Q2
$11.4M Buy
345,215
+62,266
+22% +$2.06M 0.01% 368
2018
Q1
$10.1M Sell
282,949
-30,221
-10% -$1.08M 0.01% 385
2017
Q4
$11.6M Buy
313,170
+147,291
+89% +$5.47M 0.01% 378
2017
Q3
$6.11M Buy
165,879
+506
+0.3% +$18.6K 0.01% 465
2017
Q2
$5.35M Sell
165,373
-3,340
-2% -$108K 0.01% 465
2017
Q1
$6M Sell
168,713
-16,432
-9% -$585K 0.01% 470
2016
Q4
$6.73M Sell
185,145
-116,005
-39% -$4.22M 0.01% 447
2016
Q3
$8.95M Buy
301,150
+27,845
+10% +$828K 0.01% 408
2016
Q2
$8.68M Sell
273,305
-39,632
-13% -$1.26M 0.01% 407
2016
Q1
$9.64M Sell
312,937
-16,209
-5% -$499K 0.01% 385
2015
Q4
$9.88M Buy
329,146
+3,999
+1% +$120K 0.01% 389
2015
Q3
$8.95M Sell
325,147
-55,366
-15% -$1.52M 0.01% 405
2015
Q2
$12.6M Buy
380,513
+60,535
+19% +$2M 0.02% 366
2015
Q1
$9.86M Sell
319,978
-109,082
-25% -$3.36M 0.01% 410
2014
Q4
$13M Buy
429,060
+220,683
+106% +$6.7M 0.02% 365
2014
Q3
$7.03M Hold
208,377
0.01% 456
2014
Q2
$6.71M Buy
208,377
+1,886
+0.9% +$60.7K 0.01% 461
2014
Q1
$6.64M Buy
206,491
+34,335
+20% +$1.1M 0.01% 469
2013
Q4
$5.07M Buy
172,156
+78,104
+83% +$2.3M 0.01% 507
2013
Q3
$2.94M Buy
+94,052
New +$2.94M 0.01% 568