Boston Partners’s Stewart Information Services STC Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$4.73M Buy
72,676
+84
+0.1% +$5.47K 0.01% 448
2025
Q1
$5.18M Sell
72,592
-2,372
-3% -$169K 0.01% 436
2024
Q4
$5.06M Sell
74,964
-4,204
-5% -$284K 0.01% 436
2024
Q3
$5.92M Sell
79,168
-6,274
-7% -$469K 0.01% 431
2024
Q2
$5.3M Sell
85,442
-503
-0.6% -$31.2K 0.01% 437
2024
Q1
$5.59M Sell
85,945
-7,535
-8% -$490K 0.01% 429
2023
Q4
$5.49M Sell
93,480
-12,797
-12% -$752K 0.01% 412
2023
Q3
$4.65M Sell
106,277
-13,497
-11% -$591K 0.01% 420
2023
Q2
$4.93M Buy
119,774
+109,385
+1,053% +$4.5M 0.01% 409
2023
Q1
$419K Buy
+10,389
New +$419K ﹤0.01% 618
2019
Q2
Sell
-73,305
Closed -$3.13M 696
2019
Q1
$3.13M Buy
73,305
+2,493
+4% +$106K ﹤0.01% 471
2018
Q4
$2.93M Buy
70,812
+1,288
+2% +$53.3K ﹤0.01% 481
2018
Q3
$3.13M Sell
69,524
-26,680
-28% -$1.2M ﹤0.01% 546
2018
Q2
$4.14M Sell
96,204
-154,855
-62% -$6.67M 0.01% 497
2018
Q1
$11M Sell
251,059
-16,255
-6% -$714K 0.01% 376
2017
Q4
$11.3M Sell
267,314
-6,780
-2% -$287K 0.01% 380
2017
Q3
$10.4M Sell
274,094
-2,702
-1% -$102K 0.01% 388
2017
Q2
$12.6M Buy
276,796
+606
+0.2% +$27.5K 0.02% 365
2017
Q1
$12.2M Buy
276,190
+5,955
+2% +$263K 0.02% 372
2016
Q4
$12.5M Buy
270,235
+7,367
+3% +$339K 0.02% 386
2016
Q3
$11.7M Buy
262,868
+18,024
+7% +$801K 0.02% 384
2016
Q2
$10.1M Buy
244,844
+5,713
+2% +$237K 0.01% 385
2016
Q1
$8.68M Buy
239,131
+7,982
+3% +$290K 0.01% 396
2015
Q4
$8.63M Buy
231,149
+7,176
+3% +$268K 0.01% 405
2015
Q3
$9.16M Buy
223,973
+4,784
+2% +$196K 0.01% 403
2015
Q2
$8.72M Buy
219,189
+1,615
+0.7% +$64.3K 0.01% 417
2015
Q1
$8.84M Sell
217,574
-25,405
-10% -$1.03M 0.01% 423
2014
Q4
$9M Sell
242,979
-2,545
-1% -$94.3K 0.01% 423
2014
Q3
$7.21M Buy
245,524
+5,280
+2% +$155K 0.01% 450
2014
Q2
$7.45M Hold
240,244
0.01% 441
2014
Q1
$8.44M Buy
240,244
+1,970
+0.8% +$69.2K 0.02% 427
2013
Q4
$7.69M Sell
238,274
-2,220
-0.9% -$71.6K 0.02% 435
2013
Q3
$7.69M Sell
240,494
-3,300
-1% -$106K 0.02% 406
2013
Q2
$6.39M Buy
+243,794
New +$6.39M 0.02% 411