Chicago Partners Investment Group’s Home Depot HD Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$4.09M Buy
10,860
+548
+5% +$206K 0.12% 162
2025
Q1
$3.74M Buy
10,312
+2,924
+40% +$1.06M 0.12% 154
2024
Q4
$2.86M Buy
7,388
+315
+4% +$122K 0.1% 179
2024
Q3
$2.83M Sell
7,073
-6
-0.1% -$2.4K 0.1% 170
2024
Q2
$2.57M Buy
7,079
+663
+10% +$241K 0.1% 178
2024
Q1
$2.18M Buy
6,416
+139
+2% +$47.1K 0.09% 197
2023
Q4
$2.18M Buy
6,277
+162
+3% +$56.3K 0.1% 185
2023
Q3
$1.74M Buy
6,115
+1,036
+20% +$295K 0.09% 205
2023
Q2
$1.67M Sell
5,079
-297
-6% -$97.6K 0.09% 216
2023
Q1
$1.62M Buy
5,376
+579
+12% +$175K 0.09% 203
2022
Q4
$1.56M Buy
4,797
+31
+0.7% +$10.1K 0.1% 200
2022
Q3
$1.38M Buy
4,766
+1,482
+45% +$430K 0.1% 183
2022
Q2
$988K Buy
3,284
+313
+11% +$94.2K 0.07% 232
2022
Q1
$847K Sell
2,971
-196
-6% -$55.9K 0.06% 227
2021
Q4
$1.11M Buy
3,167
+161
+5% +$56.6K 0.08% 208
2021
Q3
$1.11M Buy
3,006
+136
+5% +$50K 0.08% 207
2021
Q2
$951K Buy
2,870
+210
+8% +$69.6K 0.07% 226
2021
Q1
$851K Buy
2,660
+302
+13% +$96.6K 0.07% 224
2020
Q4
$670K Sell
2,358
-226
-9% -$64.2K 0.06% 230
2020
Q3
$717K Buy
2,584
+277
+12% +$76.9K 0.08% 185
2020
Q2
$617K Buy
2,307
+189
+9% +$50.5K 0.08% 190
2020
Q1
$444K Buy
2,118
+1,021
+93% +$214K 0.07% 206
2019
Q4
$251K Buy
1,097
+26
+2% +$5.95K 0.03% 308
2019
Q3
$251K Buy
1,071
+96
+10% +$22.5K 0.04% 289
2019
Q2
$206K Buy
+975
New +$206K 0.03% 306
2019
Q1
Sell
-3,463
Closed -$620K 332
2018
Q4
$620K Sell
3,463
-2,347
-40% -$420K 0.09% 169
2018
Q3
$1.01M Buy
5,810
+2,465
+74% +$427K 0.15% 115
2018
Q2
$653K Buy
3,345
+88
+3% +$17.2K 0.1% 150
2018
Q1
$581K Buy
3,257
+197
+6% +$35.1K 0.1% 141
2017
Q4
$580K Sell
3,060
-140
-4% -$26.5K 0.09% 145
2017
Q3
$523K Sell
3,200
-2,560
-44% -$418K 0.09% 150
2017
Q2
$828K Buy
+5,760
New +$828K 0.22% 84
2017
Q1
Sell
-32
Closed -$4K 570
2016
Q4
$4K Buy
+32
New +$4K ﹤0.01% 474
2015
Q2
Sell
-119
Closed -$12K 463
2015
Q1
$12K Buy
119
+9
+8% +$908 0.01% 330
2014
Q4
$12K Buy
+110
New +$12K 0.01% 346