Federated Hermes’s GMS Inc GMS Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$24.4M Sell
224,700
-315,238
-58% -$34.3M 0.05% 385
2025
Q1
$39.5M Sell
539,938
-328,825
-38% -$24.1M 0.09% 275
2024
Q4
$73.7M Sell
868,763
-109,000
-11% -$9.25M 0.16% 169
2024
Q3
$88.6M Sell
977,763
-78,290
-7% -$7.09M 0.19% 139
2024
Q2
$85.1M Buy
1,056,053
+9,516
+0.9% +$767K 0.2% 120
2024
Q1
$102M Buy
1,046,537
+27,895
+3% +$2.72M 0.23% 106
2023
Q4
$84M Buy
1,018,642
+76,417
+8% +$6.3M 0.21% 115
2023
Q3
$60.3M Buy
942,225
+36,527
+4% +$2.34M 0.16% 162
2023
Q2
$62.7M Buy
905,698
+105,938
+13% +$7.33M 0.16% 158
2023
Q1
$46.3M Buy
799,760
+136,975
+21% +$7.93M 0.12% 221
2022
Q4
$33M Sell
662,785
-26,794
-4% -$1.33M 0.09% 278
2022
Q3
$27.6M Sell
689,579
-676,784
-50% -$27.1M 0.08% 307
2022
Q2
$60.8M Sell
1,366,363
-361,932
-21% -$16.1M 0.17% 164
2022
Q1
$86M Sell
1,728,295
-249,487
-13% -$12.4M 0.19% 144
2021
Q4
$119M Sell
1,977,782
-5,654
-0.3% -$340K 0.22% 120
2021
Q3
$86.9M Buy
1,983,436
+51,549
+3% +$2.26M 0.17% 171
2021
Q2
$93M Buy
1,931,887
+458,110
+31% +$22.1M 0.17% 163
2021
Q1
$61.5M Buy
1,473,777
+19,167
+1% +$800K 0.12% 221
2020
Q4
$44.3M Sell
1,454,610
-124,510
-8% -$3.8M 0.09% 273
2020
Q3
$38.1M Sell
1,579,120
-255,753
-14% -$6.16M 0.09% 258
2020
Q2
$45.1M Sell
1,834,873
-260,528
-12% -$6.41M 0.11% 209
2020
Q1
$33M Buy
2,095,401
+181,495
+9% +$2.85M 0.1% 227
2019
Q4
$51.8M Buy
1,913,906
+442,460
+30% +$12M 0.12% 211
2019
Q3
$42.3M Buy
1,471,446
+621,396
+73% +$17.8M 0.1% 222
2019
Q2
$18.7M Buy
850,050
+473,601
+126% +$10.4M 0.05% 372
2019
Q1
$5.69M Buy
376,449
+376,387
+607,076% +$5.69M 0.01% 742
2018
Q4
$1K Sell
62
-7
-10% -$113 ﹤0.01% 2124
2018
Q3
$2K Sell
69
-11
-14% -$319 ﹤0.01% 2143
2018
Q2
$2K Buy
80
+11
+16% +$275 ﹤0.01% 2101
2018
Q1
$2K Buy
69
+4
+6% +$116 ﹤0.01% 2054
2017
Q4
$2K Buy
+65
New +$2K ﹤0.01% 2068
2016
Q4
Sell
-203,400
Closed -$4.52M 2126
2016
Q3
$4.52M Sell
203,400
-96,600
-32% -$2.15M 0.01% 593
2016
Q2
$6.68M Buy
+300,000
New +$6.68M 0.02% 487