Citizens Financial Group’s Consolidated Edison ED Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$1.61M Buy
16,007
+5,603
+54% +$562K 0.03% 281
2025
Q1
$1.15M Buy
10,404
+436
+4% +$48.2K 0.02% 295
2024
Q4
$889K Buy
9,968
+2,021
+25% +$180K 0.02% 314
2024
Q3
$828K Sell
7,947
-6,406
-45% -$667K 0.02% 320
2024
Q2
$1.28M Buy
14,353
+6,495
+83% +$581K 0.03% 249
2024
Q1
$714K Buy
7,858
+3,164
+67% +$287K 0.02% 236
2023
Q4
$427K Sell
4,694
-1,525
-25% -$139K 0.01% 296
2023
Q3
$532K Buy
6,219
+1,525
+32% +$130K 0.02% 237
2023
Q2
$424K Sell
4,694
-2,415
-34% -$218K 0.02% 288
2023
Q1
$680K Sell
7,109
-177
-2% -$16.9K 0.02% 256
2022
Q4
$694K Buy
7,286
+1,194
+20% +$114K 0.03% 224
2022
Q3
$522K Hold
6,092
0.02% 256
2022
Q2
$579K Sell
6,092
-8,415
-58% -$800K 0.02% 252
2022
Q1
$1.37M Buy
14,507
+4,911
+51% +$465K 0.05% 175
2021
Q4
$819K Buy
9,596
+242
+3% +$20.7K 0.03% 234
2021
Q3
$679K Buy
9,354
+2,987
+47% +$217K 0.03% 251
2021
Q2
$457K Sell
6,367
-252
-4% -$18.1K 0.02% 248
2021
Q1
$495K Hold
6,619
0.03% 207
2020
Q4
$478K Hold
6,619
0.03% 199
2020
Q3
$515K Sell
6,619
-196
-3% -$15.3K 0.03% 178
2020
Q2
$490K Hold
6,815
0.03% 189
2020
Q1
$531K Sell
6,815
-990
-13% -$77.1K 0.04% 177
2019
Q4
$706K Sell
7,805
-1,324
-15% -$120K 0.05% 163
2019
Q3
$862K Hold
9,129
0.06% 140
2019
Q2
$800K Hold
9,129
0.06% 142
2019
Q1
$774K Sell
9,129
-375
-4% -$31.8K 0.06% 149
2018
Q4
$727K Sell
9,504
-492
-5% -$37.6K 0.07% 128
2018
Q3
$762K Hold
9,996
0.06% 133
2018
Q2
$779K Sell
9,996
-275
-3% -$21.4K 0.07% 131
2018
Q1
$801K Sell
10,271
-400
-4% -$31.2K 0.07% 136
2017
Q4
$907K Buy
10,671
+2,729
+34% +$232K 0.07% 124
2017
Q3
$641K Sell
7,942
-540
-6% -$43.6K 0.05% 143
2017
Q2
$686K Hold
8,482
0.06% 140
2017
Q1
$659K Sell
8,482
-800
-9% -$62.2K 0.06% 142
2016
Q4
$684K Hold
9,282
0.07% 136
2016
Q3
$699K Hold
9,282
0.07% 140
2016
Q2
$747K Sell
9,282
-200
-2% -$16.1K 0.07% 133
2016
Q1
$727K Sell
9,482
-68
-0.7% -$5.21K 0.07% 136
2015
Q4
$633K Buy
+9,550
New +$633K 0.06% 146