Eaton Vance Management’s Palo Alto Networks PANW Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q3
$166M Sell
2,028,006
-6,468
-0.3% -$530K 0.25% 84
2022
Q2
$167M Sell
2,034,474
-38,742
-2% -$3.19M 0.23% 88
2022
Q1
$215M Buy
2,073,216
+109,272
+6% +$11.3M 0.25% 76
2021
Q4
$182M Sell
1,963,944
-182,238
-8% -$16.9M 0.22% 89
2021
Q3
$171M Buy
2,146,182
+1,776
+0.1% +$141K 0.24% 92
2021
Q2
$133M Sell
2,144,406
-3,384
-0.2% -$209K 0.18% 127
2021
Q1
$115M Buy
2,147,790
+17,592
+0.8% +$944K 0.17% 131
2020
Q4
$126M Buy
2,130,198
+33,432
+2% +$1.98M 0.2% 120
2020
Q3
$85.5M Buy
2,096,766
+772,110
+58% +$31.5M 0.16% 139
2020
Q2
$50.7M Sell
1,324,656
-63,516
-5% -$2.43M 0.1% 183
2020
Q1
$37.9M Sell
1,388,172
-293,154
-17% -$8.01M 0.09% 203
2019
Q4
$64.8M Sell
1,681,326
-3,090
-0.2% -$119K 0.13% 166
2019
Q3
$57.2M Buy
1,684,416
+4,230
+0.3% +$144K 0.12% 167
2019
Q2
$57.1M Sell
1,680,186
-486,504
-22% -$16.5M 0.13% 172
2019
Q1
$87.7M Buy
2,166,690
+77,700
+4% +$3.15M 0.2% 120
2018
Q4
$65.6M Buy
2,088,990
+111,222
+6% +$3.49M 0.17% 136
2018
Q3
$74.3M Buy
1,977,768
+23,220
+1% +$872K 0.16% 141
2018
Q2
$66.9M Sell
1,954,548
-1,798,584
-48% -$61.6M 0.16% 145
2018
Q1
$114M Buy
3,753,132
+1,844,124
+97% +$55.8M 0.14% 160
2017
Q4
$46.1M Sell
1,909,008
-204,798
-10% -$4.95M 0.11% 182
2017
Q3
$50.8M Buy
2,113,806
+403,614
+24% +$9.69M 0.13% 155
2017
Q2
$38.1M Buy
1,710,192
+58,188
+4% +$1.3M 0.1% 190
2017
Q1
$31M Sell
1,652,004
-459,510
-22% -$8.63M 0.08% 205
2016
Q4
$44M Buy
2,111,514
+22,746
+1% +$474K 0.12% 169
2016
Q3
$55.5M Buy
2,088,768
+26,442
+1% +$702K 0.16% 141
2016
Q2
$42.2M Buy
2,062,326
+913,146
+79% +$18.7M 0.12% 157
2016
Q1
$31.2M Sell
1,149,180
-14,160
-1% -$385K 0.1% 170
2015
Q4
$34.2M Buy
1,163,340
+443,628
+62% +$13M 0.1% 169
2015
Q3
$20.6M Buy
719,712
+90,636
+14% +$2.6M 0.06% 218
2015
Q2
$18.3M Buy
629,076
+191,610
+44% +$5.58M 0.06% 245
2015
Q1
$10.7M Buy
437,466
+201,546
+85% +$4.91M 0.03% 312
2014
Q4
$4.82M Sell
235,920
-486
-0.2% -$9.93K 0.01% 403
2014
Q3
$3.87M Buy
236,406
+774
+0.3% +$12.7K 0.01% 431
2014
Q2
$3.29M Sell
235,632
-48
-0% -$671 0.01% 464
2014
Q1
$2.69M Buy
235,680
+30
+0% +$343 0.01% 477
2013
Q4
$2.26M Buy
235,650
+109,110
+86% +$1.05M 0.01% 507
2013
Q3
$966K Buy
+126,540
New +$966K ﹤0.01% 611