Eagle Asset Management’s Churchill Downs CHDN Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2024
Q3
$1.49M Sell
10,276
-4,075
-28% -$592K 0.01% 471
2024
Q2
$1.99M Sell
14,351
-1,086
-7% -$150K 0.01% 470
2024
Q1
$1.91M Sell
15,437
-288
-2% -$35.7K 0.01% 471
2023
Q4
$2.12M Buy
15,725
+78
+0.5% +$10.5K 0.01% 450
2023
Q3
$1.82M Buy
15,647
+346
+2% +$40.2K 0.01% 445
2023
Q2
$2.13M Sell
15,301
-48,181
-76% -$6.71M 0.01% 441
2023
Q1
$8.16M Buy
63,482
+76
+0.1% +$9.77K 0.05% 277
2022
Q4
$6.67M Sell
63,406
-1,624
-2% -$171K 0.04% 292
2022
Q3
$5.99M Buy
65,030
+5,526
+9% +$509K 0.04% 307
2022
Q2
$5.7M Sell
59,504
-504
-0.8% -$48.3K 0.04% 331
2022
Q1
$6.65M Sell
60,008
-4,708
-7% -$522K 0.03% 342
2021
Q4
$7.73M Sell
64,716
-5,798
-8% -$693K 0.03% 355
2021
Q3
$8.46M Buy
70,514
+876
+1% +$105K 0.04% 341
2021
Q2
$6.9M Sell
69,638
-15,724
-18% -$1.56M 0.03% 385
2021
Q1
$9.87M Sell
85,362
-18,542
-18% -$2.14M 0.04% 315
2020
Q4
$10.1M Sell
103,904
-18,446
-15% -$1.8M 0.06% 286
2020
Q3
$10.2M Sell
122,350
-141,206
-54% -$11.7M 0.05% 276
2020
Q2
$17.5M Buy
263,556
+44,104
+20% +$2.93M 0.1% 227
2020
Q1
$11.3M Sell
219,452
-16,126
-7% -$830K 0.07% 254
2019
Q4
$16.2M Buy
235,578
+8,348
+4% +$573K 0.08% 246
2019
Q3
$14M Sell
227,230
-25,264
-10% -$1.56M 0.07% 257
2019
Q2
$14.5M Sell
252,494
-24,386
-9% -$1.4M 0.07% 258
2019
Q1
$12.5M Buy
276,880
+17,998
+7% +$812K 0.07% 274
2018
Q4
$10.5M Sell
258,882
-36
-0% -$1.46K 0.07% 283
2018
Q3
$12M Buy
258,918
+414
+0.2% +$19.2K 0.06% 320
2018
Q2
$12.8M Sell
258,504
-38,076
-13% -$1.88M 0.07% 293
2018
Q1
$12.1M Sell
296,580
-23,892
-7% -$972K 0.07% 296
2017
Q4
$12.4M Sell
320,472
-98,742
-24% -$3.83M 0.07% 301
2017
Q3
$14.5M Sell
419,214
-28,032
-6% -$967K 0.08% 300
2017
Q2
$13.7M Buy
+447,246
New +$13.7M 0.08% 295
2014
Q3
Sell
-1,137,684
Closed -$17.1M 623
2014
Q2
$17.1M Sell
1,137,684
-1,372,650
-55% -$20.6M 0.09% 247
2014
Q1
$38.2M Sell
2,510,334
-97,728
-4% -$1.49M 0.21% 163
2013
Q4
$39.3M Buy
2,608,062
+42,804
+2% +$646K 0.22% 154
2013
Q3
$37M Buy
2,565,258
+1,179,588
+85% +$17M 0.18% 161
2013
Q2
$18.2M Buy
+1,385,670
New +$18.2M 0.12% 241