Eaton Vance Management’s America Movil AMX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q3
$460K Buy
27,922
+33
+0.1% +$544 ﹤0.01% 1355
2022
Q2
$570K Sell
27,889
-8,546
-23% -$175K ﹤0.01% 1347
2022
Q1
$771K Buy
36,435
+3,533
+11% +$74.8K ﹤0.01% 1423
2021
Q4
$694K Buy
32,902
+7,918
+32% +$167K ﹤0.01% 1256
2021
Q3
$363K Buy
24,984
+1,311
+6% +$19K ﹤0.01% 1261
2021
Q2
$356K Buy
23,673
+3,052
+15% +$45.9K ﹤0.01% 1426
2021
Q1
$280K Sell
20,621
-244,102
-92% -$3.31M ﹤0.01% 1396
2020
Q4
$3.85M Sell
264,723
-16,973
-6% -$247K 0.01% 776
2020
Q3
$3.52M Sell
281,696
-46,072
-14% -$575K 0.01% 707
2020
Q2
$4.16M Buy
327,768
+50
+0% +$634 0.01% 643
2020
Q1
$3.86M Hold
327,718
0.01% 606
2019
Q4
$5.24M Sell
327,718
-1,500
-0.5% -$24K 0.01% 599
2019
Q3
$4.89M Hold
329,218
0.01% 596
2019
Q2
$4.79M Sell
329,218
-290
-0.1% -$4.22K 0.01% 592
2019
Q1
$4.71M Hold
329,508
0.01% 566
2018
Q4
$4.7M Sell
329,508
-5
-0% -$71 0.01% 526
2018
Q3
$5.29M Buy
329,513
+250
+0.1% +$4.02K 0.01% 533
2018
Q2
$5.49M Sell
329,263
-329,263
-50% -$5.49M 0.01% 511
2018
Q1
$12.6M Buy
658,526
+329,388
+100% +$6.29M 0.02% 467
2017
Q4
$5.65M Hold
329,138
0.01% 494
2017
Q3
$5.84M Hold
329,138
0.02% 471
2017
Q2
$5.24M Hold
329,138
0.01% 492
2017
Q1
$4.66M Sell
329,138
-75,795
-19% -$1.07M 0.01% 493
2016
Q4
$5.09M Hold
404,933
0.01% 438
2016
Q3
$4.63M Buy
404,933
+1,200
+0.3% +$13.7K 0.01% 428
2016
Q2
$4.95M Sell
403,733
-290
-0.1% -$3.56K 0.01% 413
2016
Q1
$6.27M Sell
404,023
-13,006
-3% -$202K 0.02% 364
2015
Q4
$5.86M Hold
417,029
0.02% 380
2015
Q3
$6.9M Sell
417,029
-120
-0% -$1.99K 0.02% 359
2015
Q2
$8.89M Buy
417,149
+76,999
+23% +$1.64M 0.03% 324
2015
Q1
$6.96M Buy
340,150
+129,916
+62% +$2.66M 0.02% 360
2014
Q4
$4.66M Sell
210,234
-24
-0% -$532 0.01% 408
2014
Q3
$5.3M Sell
210,258
-76
-0% -$1.92K 0.02% 386
2014
Q2
$4.37M Sell
210,334
-1,107
-0.5% -$23K 0.01% 408
2014
Q1
$4.2M Sell
211,441
-102
-0% -$2.03K 0.01% 420
2013
Q4
$4.94M Buy
211,543
+5
+0% +$117 0.01% 392
2013
Q3
$4.19M Buy
211,538
+76,956
+57% +$1.52M 0.01% 394
2013
Q2
$2.93M Buy
+134,582
New +$2.93M 0.01% 426