Clarkston Capital Partners’s Landstar System LSTR Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$27.2M Buy
+195,775
New +$27.2M 0.58% 42
2021
Q3
Sell
-358,967
Closed -$56.7M 185
2021
Q2
$56.7M Sell
358,967
-19,720
-5% -$3.12M 1.01% 24
2021
Q1
$62.5M Sell
378,687
-2,985
-0.8% -$493K 1.14% 22
2020
Q4
$51.4M Sell
381,672
-10,650
-3% -$1.43M 1.09% 22
2020
Q3
$49.2M Sell
392,322
-55,397
-12% -$6.95M 1.31% 23
2020
Q2
$50.3M Sell
447,719
-37,041
-8% -$4.16M 1.43% 23
2020
Q1
$46.5M Sell
484,760
-120,815
-20% -$11.6M 1.5% 23
2019
Q4
$69M Buy
605,575
+4,637
+0.8% +$528K 2.03% 18
2019
Q3
$67.7M Sell
600,938
-2,716
-0.4% -$306K 2.1% 16
2019
Q2
$65.2M Sell
603,654
-20,722
-3% -$2.24M 2.22% 15
2019
Q1
$68.3M Buy
624,376
+16,460
+3% +$1.8M 2.26% 13
2018
Q4
$58.2M Sell
607,916
-6,285
-1% -$601K 2.23% 16
2018
Q3
$74.9M Sell
614,201
-4,555
-0.7% -$556K 2.74% 11
2018
Q2
$67.6M Sell
618,756
-2,135
-0.3% -$233K 2.58% 14
2018
Q1
$68.1M Sell
620,891
-7,685
-1% -$843K 2.66% 11
2017
Q4
$65.4M Sell
628,576
-22,212
-3% -$2.31M 2.54% 12
2017
Q3
$64.9M Buy
650,788
+25,306
+4% +$2.52M 2.67% 13
2017
Q2
$53.5M Sell
625,482
-26,497
-4% -$2.27M 2.39% 13
2017
Q1
$55.8M Sell
651,979
-14,070
-2% -$1.21M 2.62% 12
2016
Q4
$56.8M Sell
666,049
-13,700
-2% -$1.17M 2.7% 12
2016
Q3
$46.3M Buy
679,749
+35,010
+5% +$2.38M 2.23% 14
2016
Q2
$44.3M Buy
644,739
+9,020
+1% +$619K 2.3% 14
2016
Q1
$41.1M Buy
635,719
+13,740
+2% +$888K 2.28% 16
2015
Q4
$36.5M Buy
621,979
+341,583
+122% +$20M 2.54% 15
2015
Q3
$17.8M Buy
280,396
+84,865
+43% +$5.39M 1.62% 24
2015
Q2
$13.1M Buy
195,531
+41,243
+27% +$2.76M 1.34% 33
2015
Q1
$10.2M Buy
154,288
+22,956
+17% +$1.52M 1.13% 35
2014
Q4
$9.53M Buy
131,332
+2,720
+2% +$197K 1.44% 25
2014
Q3
$9.28M Buy
128,612
+7,065
+6% +$510K 1.6% 24
2014
Q2
$7.78M Sell
121,547
-5,678
-4% -$363K 1.43% 26
2014
Q1
$7.53M Buy
127,225
+102,233
+409% +$6.05M 1.5% 25
2013
Q4
$1.44M Buy
24,992
+15,272
+157% +$878K 0.56% 50
2013
Q3
$544K Buy
9,720
+3,525
+57% +$197K 0.26% 68
2013
Q2
$319K Buy
+6,195
New +$319K 0.18% 80