DHFB
XOM icon

Dixon Hubard Feinour & Brown’s Exxon Mobil XOM Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q2
$7.92M Sell
92,438
-1,996
-2% -$171K 0.94% 34
2022
Q1
$7.8M Buy
94,434
+6,990
+8% +$577K 0.78% 38
2021
Q4
$5.35M Buy
87,444
+54,319
+164% +$3.32M 0.52% 60
2021
Q3
$1.95M Sell
33,125
-3,422
-9% -$201K 0.41% 53
2021
Q2
$2.31M Sell
36,547
-64,610
-64% -$4.07M 0.48% 50
2021
Q1
$4.44M Buy
101,157
+44,999
+80% +$1.98M 0.55% 47
2020
Q4
$1.93M Hold
56,158
0.49% 42
2020
Q3
$1.93M Sell
56,158
-13,939
-20% -$479K 0.49% 42
2020
Q2
$3.05M Buy
70,097
+881
+1% +$38.4K 0.79% 34
2020
Q1
$2.63M Buy
69,216
+3,102
+5% +$118K 0.89% 34
2019
Q4
$4.61M Sell
66,114
-1,635
-2% -$114K 1.2% 29
2019
Q3
$4.78M Sell
67,749
-864
-1% -$61K 1.32% 25
2019
Q2
$5.26M Sell
68,613
-891
-1% -$68.3K 1.49% 22
2019
Q1
$5.62M Buy
69,504
+79
+0.1% +$6.38K 1.69% 20
2018
Q4
$4.73M Sell
69,425
-5,277
-7% -$360K 1.75% 18
2018
Q3
$6.35M Sell
74,702
-685
-0.9% -$58.2K 1.76% 20
2018
Q2
$6.24M Sell
75,387
-6,937
-8% -$574K 1.81% 19
2018
Q1
$6.14M Sell
82,324
-5,789
-7% -$432K 1.71% 20
2017
Q4
$7.37M Sell
88,113
-1,968
-2% -$165K 2% 14
2017
Q3
$7.39M Sell
90,081
-185
-0.2% -$15.2K 2.12% 9
2017
Q2
$7.29M Sell
90,266
-1,495
-2% -$121K 2.11% 9
2017
Q1
$7.53M Sell
91,761
-1,350
-1% -$111K 2.24% 8
2016
Q4
$8.4M Sell
93,111
-3,639
-4% -$328K 2.67% 3
2016
Q3
$8.44M Sell
96,750
-175
-0.2% -$15.3K 2.62% 3
2016
Q2
$9.09M Sell
96,925
-856
-0.9% -$80.2K 2.9% 2
2016
Q1
$8.64M Buy
97,781
+317
+0.3% +$28K 2.82% 2
2015
Q4
$7.6M Sell
97,464
-6,039
-6% -$471K 2.42% 5
2015
Q3
$7.7M Sell
103,503
-1,217
-1% -$90.5K 2.83% 5
2015
Q2
$8.71M Sell
104,720
-1,206
-1% -$100K 2.68% 3
2015
Q1
$9M Sell
105,926
-125
-0.1% -$10.6K 2.66% 3
2014
Q4
$9.8M Sell
106,051
-777
-0.7% -$71.8K 3.05% 1
2014
Q3
$10M Sell
106,828
-2,275
-2% -$214K 3.29% 1
2014
Q2
$11M Sell
109,103
-660
-0.6% -$66.4K 3.59% 1
2014
Q1
$10.7M Buy
109,763
+7,268
+7% +$710K 3.72% 1
2013
Q4
$10.4M Buy
102,495
+167
+0.2% +$16.9K 3.83% 1
2013
Q3
$8.8M Sell
102,328
-4,659
-4% -$401K 3.73% 1
2013
Q2
$9.67M Buy
+106,987
New +$9.67M 4.31% 1