Clarkston Capital Partners’s FedEx FDX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$77.3M Sell
340,240
-2,242
-0.7% -$510K 1.64% 22
2025
Q1
$83.5M Sell
342,482
-116
-0% -$28.3K 1.65% 22
2024
Q4
$96.4M Sell
342,598
-5,410
-2% -$1.52M 1.85% 19
2024
Q3
$95.2M Sell
348,008
-4,827
-1% -$1.32M 1.75% 20
2024
Q2
$106M Sell
352,835
-51,281
-13% -$15.4M 2.02% 18
2024
Q1
$117M Buy
404,116
+1,228
+0.3% +$356K 2.07% 18
2023
Q4
$102M Sell
402,888
-4,254
-1% -$1.08M 1.89% 19
2023
Q3
$108M Sell
407,142
-161,798
-28% -$42.9M 2.12% 17
2023
Q2
$141M Sell
568,940
-630
-0.1% -$156K 2.54% 15
2023
Q1
$130M Sell
569,570
-3,250
-0.6% -$743K 2.43% 15
2022
Q4
$99.2M Buy
572,820
+4,980
+0.9% +$863K 1.87% 20
2022
Q3
$84.3M Buy
567,840
+151,671
+36% +$22.5M 1.66% 21
2022
Q2
$94.4M Buy
416,169
+44,871
+12% +$10.2M 1.73% 19
2022
Q1
$85.9M Buy
371,298
+32,717
+10% +$7.57M 1.43% 23
2021
Q4
$87.6M Buy
338,581
+2,886
+0.9% +$746K 1.5% 23
2021
Q3
$73.6M Buy
335,695
+17,008
+5% +$3.73M 1.32% 23
2021
Q2
$95.1M Sell
318,687
-8,187
-3% -$2.44M 1.69% 22
2021
Q1
$92.8M Buy
326,874
+15,485
+5% +$4.4M 1.69% 20
2020
Q4
$80.8M Sell
311,389
-40,635
-12% -$10.5M 1.71% 20
2020
Q3
$88.5M Sell
352,024
-123,000
-26% -$30.9M 2.36% 18
2020
Q2
$66.6M Sell
475,024
-63,205
-12% -$8.86M 1.89% 21
2020
Q1
$65.3M Buy
538,229
+419,487
+353% +$50.9M 2.11% 21
2019
Q4
$18M Buy
118,742
+2,642
+2% +$399K 0.53% 40
2019
Q3
$16.9M Buy
+116,100
New +$16.9M 0.53% 42
2016
Q1
Sell
-1,410
Closed -$210K 128
2015
Q4
$210K Sell
1,410
-370
-21% -$55.1K 0.01% 123
2015
Q3
$256K Hold
1,780
0.02% 123
2015
Q2
$303K Hold
1,780
0.03% 122
2015
Q1
$295K Sell
1,780
-500
-22% -$82.9K 0.03% 122
2014
Q4
$396K Buy
2,280
+500
+28% +$86.8K 0.06% 149
2014
Q3
$287K Sell
1,780
-25
-1% -$4.03K 0.05% 126
2014
Q2
$273K Sell
1,805
-100
-5% -$15.1K 0.05% 123
2014
Q1
$253K Buy
1,905
+100
+6% +$13.3K 0.05% 137
2013
Q4
$260K Sell
1,805
-545
-23% -$78.5K 0.1% 100
2013
Q3
$268K Buy
2,350
+270
+13% +$30.8K 0.13% 83
2013
Q2
$205K Buy
+2,080
New +$205K 0.11% 92