Boston Partners’s Global Payments GPN Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$59.1M Sell
738,717
-8,856
-1% -$709K 0.07% 238
2025
Q1
$73.1M Sell
747,573
-4,780
-0.6% -$467K 0.09% 216
2024
Q4
$84.3M Sell
752,353
-8,795
-1% -$985K 0.1% 205
2024
Q3
$77.9M Sell
761,148
-216,301
-22% -$22.1M 0.09% 217
2024
Q2
$94.5M Sell
977,449
-3,820,228
-80% -$369M 0.12% 209
2024
Q1
$640M Buy
4,797,677
+12,196
+0.3% +$1.63M 0.76% 24
2023
Q4
$609M Sell
4,785,481
-357,290
-7% -$45.4M 0.81% 22
2023
Q3
$592M Buy
5,142,771
+1,481,714
+40% +$170M 0.82% 22
2023
Q2
$364M Buy
3,661,057
+896,366
+32% +$89.1M 0.49% 67
2023
Q1
$291M Sell
2,764,691
-643,128
-19% -$67.6M 0.4% 86
2022
Q4
$340M Sell
3,407,819
-1,535,454
-31% -$153M 0.46% 75
2022
Q3
$534M Buy
4,943,273
+89,927
+2% +$9.72M 0.78% 35
2022
Q2
$539M Sell
4,853,346
-197,819
-4% -$22M 0.75% 38
2022
Q1
$691M Buy
5,051,165
+345,616
+7% +$47.3M 0.84% 27
2021
Q4
$637M Buy
4,705,549
+1,908,708
+68% +$258M 0.77% 37
2021
Q3
$441M Buy
+2,796,841
New +$441M 0.56% 55
2020
Q2
Sell
-618,419
Closed -$89.2M 672
2020
Q1
$89.2M Sell
618,419
-69,931
-10% -$10.1M 0.18% 157
2019
Q4
$126M Buy
688,350
+27,718
+4% +$5.06M 0.17% 166
2019
Q3
$105M Sell
660,632
-99,721
-13% -$15.9M 0.14% 181
2019
Q2
$122M Sell
760,353
-209,617
-22% -$33.6M 0.16% 172
2019
Q1
$132M Sell
969,970
-214,906
-18% -$29.3M 0.18% 157
2018
Q4
$122M Buy
+1,184,876
New +$122M 0.18% 152
2016
Q1
Sell
-589,381
Closed -$38M 725
2015
Q4
$38M Sell
589,381
-1,191,189
-67% -$76.8M 0.05% 230
2015
Q3
$102M Sell
1,780,570
-1,374,592
-44% -$78.9M 0.16% 160
2015
Q2
$163M Buy
3,155,162
+207,000
+7% +$10.7M 0.23% 132
2015
Q1
$135M Sell
2,948,162
-2,027,420
-41% -$92.9M 0.2% 145
2014
Q4
$201M Sell
4,975,582
-1,278,216
-20% -$51.6M 0.3% 99
2014
Q3
$219M Buy
6,253,798
+228,840
+4% +$8M 0.35% 86
2014
Q2
$219M Buy
6,024,958
+718,910
+14% +$26.2M 0.37% 83
2014
Q1
$189M Buy
5,306,048
+1,168,664
+28% +$41.6M 0.34% 87
2013
Q4
$134M Buy
4,137,384
+2,646,714
+178% +$86M 0.28% 108
2013
Q3
$38.1M Buy
+1,490,670
New +$38.1M 0.09% 197