Brandywine Global Investment Management’s Aecom ACM Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$5.5M Buy
48,735
+8,031
+20% +$906K 0.04% 355
2025
Q1
$3.77M Buy
+40,704
New +$3.77M 0.03% 403
2022
Q1
Sell
-38,715
Closed -$3M 713
2021
Q4
$3M Sell
38,715
-421
-1% -$32.6K 0.02% 470
2021
Q3
$2.47M Sell
39,136
-791
-2% -$49.9K 0.02% 507
2021
Q2
$2.53M Sell
39,927
-3,731
-9% -$236K 0.02% 511
2021
Q1
$2.8M Buy
+43,658
New +$2.8M 0.02% 487
2020
Q3
Sell
-203
Closed -$8K 592
2020
Q2
$8K Sell
203
-128,735
-100% -$5.07M ﹤0.01% 696
2020
Q1
$3.85M Sell
128,938
-2,163
-2% -$64.6K 0.05% 323
2019
Q4
$5.64M Sell
131,101
-7,405
-5% -$318K 0.04% 372
2019
Q3
$5.2M Sell
138,506
-404,308
-74% -$15.2M 0.04% 387
2019
Q2
$20.5M Sell
542,814
-3,079
-0.6% -$117K 0.14% 137
2019
Q1
$16.2M Sell
545,893
-366
-0.1% -$10.9K 0.11% 159
2018
Q4
$14.5M Sell
546,259
-1,132,539
-67% -$30M 0.11% 168
2018
Q3
$54.8M Sell
1,678,798
-40,568
-2% -$1.32M 0.34% 77
2018
Q2
$56.8M Sell
1,719,366
-47,339
-3% -$1.56M 0.36% 74
2018
Q1
$62.9M Sell
1,766,705
-137,940
-7% -$4.91M 0.4% 66
2017
Q4
$70.8M Sell
1,904,645
-85,011
-4% -$3.16M 0.42% 63
2017
Q3
$73.2M Buy
1,989,656
+86,869
+5% +$3.2M 0.46% 52
2017
Q2
$61.5M Buy
1,902,787
+156,003
+9% +$5.04M 0.39% 61
2017
Q1
$62.2M Sell
1,746,784
-66,999
-4% -$2.38M 0.39% 61
2016
Q4
$66M Sell
1,813,783
-118,624
-6% -$4.31M 0.42% 65
2016
Q3
$57.5M Sell
1,932,407
-129,494
-6% -$3.85M 0.38% 70
2016
Q2
$65.5M Sell
2,061,901
-45,687
-2% -$1.45M 0.44% 55
2016
Q1
$64.9M Sell
2,107,588
-841,768
-29% -$25.9M 0.42% 62
2015
Q4
$88.6M Sell
2,949,356
-154,270
-5% -$4.63M 0.56% 42
2015
Q3
$85.4M Buy
3,103,626
+2,401,836
+342% +$66.1M 0.56% 40
2015
Q2
$23.2M Buy
701,790
+68,815
+11% +$2.28M 0.15% 136
2015
Q1
$19.5M Buy
632,975
+438,318
+225% +$13.5M 0.13% 148
2014
Q4
$5.91M Sell
194,657
-91
-0% -$2.76K 0.04% 400
2014
Q3
$6.57M Buy
194,748
+27,175
+16% +$917K 0.05% 354
2014
Q2
$5.4M Buy
167,573
+166,866
+23,602% +$5.37M 0.04% 371
2014
Q1
$23K Buy
+707
New +$23K ﹤0.01% 860
2013
Q4
Sell
-303,539
Closed -$9.49M 973
2013
Q3
$9.49M Buy
303,539
+70,798
+30% +$2.21M 0.09% 194
2013
Q2
$7.4M Buy
+232,741
New +$7.4M 0.08% 241