Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q2
$351K Buy
6,701
+202
+3% +$10.7K 0.01% 798
2026
Q1
$359K Buy
6,499
+79
+1% +$4.28K 0.01% 750
2025
Q4
$315K Sell
6,420
-1,232
-16% -$57.5K 0.01% 758
2025
Q3
$330K Sell
7,652
-1,155
-13% -$45.1K 0.01% 749
2025
Q2
$338K Buy
8,807
+592
+7% +$22.6K 0.01% 704
2025
Q1
$318K Sell
8,215
-635
-7% -$23.2K 0.01% 694
2024
Q4
$299K Sell
8,850
-495
-5% -$17.8K 0.01% 536
2024
Q3
$382K Sell
9,345
-875
-9% -$35.8K 0.01% 679
2024
Q2
$393K Sell
10,220
-6,661
-39% -$280K 0.01% 684
2024
Q1
$724K Sell
16,881
-38,503
-70% -$1.59M 0.02% 507
2023
Q4
$2.17M Buy
55,384
+48,232
+674% +$1.73M 0.08% 270
2023
Q3
$259K Buy
7,152
+1,453
+25% +$51.6K 0.01% 702
2023
Q2
$203K Sell
5,699
-773
-12% -$27.7K 0.01% 744
2023
Q1
$230K Buy
6,472
+481
+8% +$16.8K 0.01% 666
2022
Q4
$211K Buy
+5,991
New +$200K 0.01% 652
2022
Q3
Sell
-5,812
Closed -$316K 714
2022
Q2
$316K Buy
5,812
+106
+2% +$5.85K 0.02% 511
2022
Q1
$311K Sell
5,706
-4
-0.1% -$217 0.02% 546
2021
Q4
$315K Sell
5,710
-605
-10% -$31.5K 0.02% 551
2021
Q3
$302K Buy
6,315
+999
+19% +$50.2K 0.02% 576
2021
Q2
$265K Buy
5,316
+617
+13% +$29.6K 0.02% 585
2021
Q1
$210K Sell
4,699
-1,486
-24% -$67.4K 0.02% 603
2020
Q4
$284K Buy
6,185
+543
+10% +$24.9K 0.03% 506
2020
Q3
$265K Buy
5,642
+108
+2% +$5.41K 0.03% 461
2020
Q2
$282K Buy
5,534
+404
+8% +$20.7K 0.04% 398
2020
Q1
$243K Sell
5,130
-44
-0.9% -$2.35K 0.04% 369
2019
Q4
$304K Sell
5,174
-56
-1% -$3.12K 0.04% 408
2019
Q3
$279K Sell
5,230
-602
-10% -$31K 0.04% 389
2019
Q2
$292K Sell
5,832
-2,029
-26% -$102K 0.05% 367
2019
Q1
$411K Buy
7,861
+1,440
+22% +$72K 0.08% 255
2018
Q4
$308K Buy
6,421
+205
+3% +$10.1K 0.07% 280
2018
Q3
$312K Sell
6,216
-114
-2% -$5.79K 0.06% 295
2018
Q2
$319K Buy
6,330
+953
+18% +$48K 0.07% 283
2018
Q1
$263K Buy
+5,377
New +$250K 0.07% 277
2017
Q4
Sell
-76,226
Closed -$3.87M 252
2017
Q3
$3.87M Buy
76,226
+1,090
+1% +$55.3K 1.53% 13
2017
Q2
$4.05M Sell
75,136
-1,098
-1% -$58.5K 1.57% 11
2017
Q1
$4.02M Buy
76,234
+71,190
+1,411% +$3.61M 1.57% 15
2016
Q4
$243K Sell
5,044
-70,655
-93% -$3.49M 0.1% 187
2016
Q3
$4.08M Buy
75,699
+1,715
+2% +$94K 1.55% 12
2016
Q2
$4.01M Buy
73,984
+5,149
+7% +$271K 1.62% 12
2016
Q1
$3.49M Buy
68,835
+731
+1% +$36.4K 1.48% 16
2015
Q4
$3.44M Sell
68,104
-5,598
-8% -$285K 1.42% 14
2015
Q3
$3.54M Buy
+73,702
New +$3.84M 1.79% 14
2014
Q4
Sell
-44,930
Closed -$2.58M 203
2014
Q3
$2.58M Buy
44,930
+4,891
+12% +$300K 1.4% 15
2014
Q2
$2.68M Buy
40,039
+14,353
+56% +$972K 1.61% 10
2014
Q1
$1.72M Buy
25,686
+1,969
+8% +$133K 1.17% 21
2013
Q4
$1.58M Buy
+23,717
New +$1.54M 1.17% 20

Other funds holding GSK

Dynamic Advisor Solutions's GSK Position: Q2 2026 in Review

Dynamic Advisor Solutions increased its GSK (GSK) stake by 3.1% in Q2 2026, buying an estimated $10.7K and bringing the position to 6,701 shares worth $351K. The position accounts for 0.01% of the portfolio, ranked #798.

Dynamic Advisor Solutions first reported a position in GSK in Q4 2013 and has held it in 46 quarters since. The position peaked at $4.08M in Q3 2016. 161 funds tracked by Wall St. Rank hold GSK as of Q2 2026.

  • Dynamic Advisor Solutions held 6,701 shares of GSK worth $351K as of Q2 2026.
  • Dynamic Advisor Solutions bought 202 GSK shares in Q2 2026, an estimated $10.7K.
  • GSK made up 0.01% of Dynamic Advisor Solutions's portfolio in Q2 2026, its #798 holding.
  • Dynamic Advisor Solutions first reported a position in GSK in Q4 2013 and has held it in 46 quarters since.
  • Dynamic Advisor Solutions's GSK position peaked at $4.08M in Q3 2016.
  • 161 funds tracked by Wall St. Rank held GSK as of Q2 2026.

Based on Dynamic Advisor Solutions's 13F filing for Q2 2026, filed 7 Jul 2026.