Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
Sell
-4,391
Closed -$183K 456
2025
Q4
$183K Hold
4,391
0.03% 455
2025
Q3
$179K Hold
4,391
0.03% 466
2025
Q2
$201K Buy
4,391
+1,531
+54% +$70.6K 0.03% 442
2025
Q1
$139K Sell
2,860
-154
-5% -$7.59K 0.03% 435
2024
Q4
$142K Hold
3,014
0.03% 452
2024
Q3
$171K Sell
3,014
-84
-3% -$4.46K 0.03% 459
2024
Q2
$152K Hold
3,098
0.03% 437
2024
Q1
$147K Sell
3,098
-119
-4% -$5.57K 0.03% 451
2023
Q4
$155K Hold
3,217
0.03% 430
2023
Q3
$147K Sell
3,217
-409
-11% -$19.7K 0.03% 408
2023
Q2
$180K Hold
3,626
0.03% 443
2023
Q1
$206K Sell
3,626
-67
-2% -$3.84K 0.04% 430
2022
Q4
$220K Hold
3,693
0.05% 406
2022
Q3
$198K Sell
3,693
-184
-5% -$11.3K 0.04% 414
2022
Q2
$241K Sell
3,877
-1,543
-28% -$95.4K 0.05% 386
2022
Q1
$307K Sell
5,420
-1,620
-23% -$94.6K 0.04% 438
2021
Q4
$423K Sell
7,040
-2,340
-25% -$139K 0.03% 415
2021
Q3
$544K Sell
9,380
-170
-2% -$10.1K 0.04% 404
2021
Q2
$547K Sell
9,550
-1,700
-15% -$101K 0.04% 407
2021
Q1
$657K Buy
11,250
+310
+3% +$17.7K 0.05% 369
2020
Q4
$644K Buy
10,940
+741
+7% +$42.3K 0.05% 338
2020
Q3
$563K Buy
10,199
+150
+1% +$8.16K 0.05% 314
2020
Q2
$513K Buy
10,049
+3,487
+53% +$163K 0.05% 377
2020
Q1
$267K Buy
6,562
+540
+9% +$25.9K 0.03% 482
2019
Q4
$319K Sell
6,022
-208
-3% -$10.4K 0.03% 504
2019
Q3
$297K Buy
6,230
+500
+9% +$25.8K 0.03% 532
2019
Q2
$304K Buy
+5,730
New +$318K 0.03% 521

Other funds holding AMCR