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Clark Estates Inc’s 3D Systems Corporation DDD Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$2.18M Hold
1,418,614
0.49% 32
2025
Q1
$3.01M Hold
1,418,614
0.64% 18
2024
Q4
$4.65M Hold
1,418,614
0.9% 17
2024
Q3
$4.03M Hold
1,418,614
0.75% 23
2024
Q2
$4.36M Hold
1,418,614
0.82% 15
2024
Q1
$6.3M Hold
1,418,614
1.04% 16
2023
Q4
$9.01M Hold
1,418,614
1.53% 15
2023
Q3
$6.97M Hold
1,418,614
1.27% 15
2023
Q2
$14.1M Hold
1,418,614
2.37% 11
2023
Q1
$15.2M Hold
1,418,614
3.02% 11
2022
Q4
$10.5M Hold
1,418,614
2.18% 10
2022
Q3
$11.3M Hold
1,418,614
2.5% 12
2022
Q2
$13.8M Hold
1,418,614
2.38% 12
2022
Q1
$23.7M Hold
1,418,614
3.73% 5
2021
Q4
$30.6M Hold
1,418,614
4.47% 2
2021
Q3
$39.1M Hold
1,418,614
5.58% 2
2021
Q2
$56.7M Hold
1,418,614
7.41% 1
2021
Q1
$38.9M Hold
1,418,614
4.97% 3
2020
Q4
$14.9M Sell
1,418,614
-7,776
-0.5% -$81.5K 2.1% 10
2020
Q3
$7M Hold
1,426,390
1.15% 24
2020
Q2
$9.97M Hold
1,426,390
1.74% 16
2020
Q1
$11M Hold
1,426,390
2.24% 8
2019
Q4
$12.5M Hold
1,426,390
1.91% 14
2019
Q3
$11.6M Hold
1,426,390
1.92% 13
2019
Q2
$13M Hold
1,426,390
2.08% 14
2019
Q1
$15.3M Hold
1,426,390
2.38% 13
2018
Q4
$14.5M Hold
1,426,390
2.32% 14
2018
Q3
$27M Hold
1,426,390
4.04% 6
2018
Q2
$19.7M Hold
1,426,390
2.94% 11
2018
Q1
$16.5M Hold
1,426,390
2.64% 13
2017
Q4
$12.3M Hold
1,426,390
2.04% 12
2017
Q3
$19.1M Hold
1,426,390
3.17% 8
2017
Q2
$26.7M Hold
1,426,390
4.58% 6
2017
Q1
$21.3M Hold
1,426,390
3.28% 7
2016
Q4
$19M Hold
1,426,390
3.19% 9
2016
Q3
$25.6M Hold
1,426,390
4.95% 4
2016
Q2
$19.5M Hold
1,426,390
3.87% 6
2016
Q1
$22.1M Hold
1,426,390
4.22% 6
2015
Q4
$12.4M Hold
1,426,390
2.24% 12
2015
Q3
$16.5M Hold
1,426,390
2.83% 10
2015
Q2
$27.8M Hold
1,426,390
4.5% 4
2015
Q1
$39.1M Hold
1,426,390
6.32% 3
2014
Q4
$46.9M Hold
1,426,390
7.02% 1
2014
Q3
$66.1M Hold
1,426,390
10.55% 1
2014
Q2
$85.3M Hold
1,426,390
12.17% 1
2014
Q1
$84.4M Hold
1,426,390
12.66% 1
2013
Q4
$133M Sell
1,426,390
-550,000
-28% -$51.1M 18.81% 1
2013
Q3
$107M Hold
1,976,390
16.18% 1
2013
Q2
$86.8M Buy
+1,976,390
New +$86.8M 14.96% 1