Dimensional Fund Advisors
DCOM

Dimensional Fund Advisors’s Dime Community Bancshares DCOM Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2021
Q1
Sell
-2,809,150
Closed -$44.3M 3464
2020
Q4
$44.3M Sell
2,809,150
-7,427
-0.3% -$117K 0.02% 1467
2020
Q3
$31.9M Sell
2,816,577
-14,393
-0.5% -$163K 0.01% 1557
2020
Q2
$38.9M Sell
2,830,970
-131,580
-4% -$1.81M 0.02% 1415
2020
Q1
$40.6M Sell
2,962,550
-65,506
-2% -$898K 0.02% 1207
2019
Q4
$63.3M Sell
3,028,056
-35,132
-1% -$734K 0.02% 1200
2019
Q3
$65.6M Sell
3,063,188
-24,224
-0.8% -$519K 0.03% 1101
2019
Q2
$58.6M Sell
3,087,412
-11,744
-0.4% -$223K 0.02% 1265
2019
Q1
$58M Sell
3,099,156
-44,560
-1% -$835K 0.02% 1240
2018
Q4
$53.4M Sell
3,143,716
-3,303
-0.1% -$56.1K 0.02% 1163
2018
Q3
$56.2M Buy
3,147,019
+23,426
+0.7% +$418K 0.02% 1340
2018
Q2
$60.9M Sell
3,123,593
-20,324
-0.6% -$396K 0.02% 1185
2018
Q1
$57.8M Buy
3,143,917
+105,380
+3% +$1.94M 0.02% 1175
2017
Q4
$63.7M Buy
3,038,537
+116,778
+4% +$2.45M 0.03% 1073
2017
Q3
$62.8M Buy
2,921,759
+122,016
+4% +$2.62M 0.03% 1033
2017
Q2
$54.9M Buy
2,799,743
+208,581
+8% +$4.09M 0.03% 1129
2017
Q1
$52.6M Buy
2,591,162
+179,083
+7% +$3.64M 0.03% 1127
2016
Q4
$48.5M Buy
2,412,079
+135,093
+6% +$2.72M 0.02% 1160
2016
Q3
$38.2M Buy
2,276,986
+105,211
+5% +$1.76M 0.02% 1336
2016
Q2
$36.9M Buy
2,171,775
+88,116
+4% +$1.5M 0.02% 1289
2016
Q1
$36.7M Buy
2,083,659
+52,809
+3% +$931K 0.02% 1263
2015
Q4
$35.5M Buy
2,030,850
+206,641
+11% +$3.61M 0.02% 1216
2015
Q3
$30.8M Buy
1,824,209
+74,918
+4% +$1.27M 0.02% 1320
2015
Q2
$29.6M Buy
1,749,291
+55,928
+3% +$947K 0.02% 1446
2015
Q1
$27.3M Buy
1,693,363
+118,045
+7% +$1.9M 0.02% 1477
2014
Q4
$25.6M Buy
1,575,318
+56,144
+4% +$914K 0.02% 1475
2014
Q3
$21.9M Buy
1,519,174
+54,523
+4% +$785K 0.02% 1541
2014
Q2
$23.1M Buy
1,464,651
+89,249
+6% +$1.41M 0.02% 1509
2014
Q1
$23.4M Buy
1,375,402
+33,377
+2% +$567K 0.02% 1415
2013
Q4
$22.7M Buy
1,342,025
+69,666
+5% +$1.18M 0.02% 1410
2013
Q3
$21.2M Buy
1,272,359
+27,689
+2% +$461K 0.02% 1352
2013
Q2
$19.1M Buy
+1,244,670
New +$19.1M 0.02% 1339