Federated Hermes’s Radware RDWR Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q4
Sell
-307,570
Closed -$6.7M 2256
2022
Q3
$6.7M Hold
307,570
0.02% 622
2022
Q2
$6.67M Hold
307,570
0.02% 631
2022
Q1
$9.83M Sell
307,570
-155,283
-34% -$4.96M 0.02% 616
2021
Q4
$19.3M Sell
462,853
-199,878
-30% -$8.32M 0.04% 493
2021
Q3
$22.3M Sell
662,731
-1,075,269
-62% -$36.3M 0.04% 447
2021
Q2
$53.5M Hold
1,738,000
0.1% 263
2021
Q1
$45.3M Sell
1,738,000
-1,300
-0.1% -$33.9K 0.09% 290
2020
Q4
$48.3M Hold
1,739,300
0.1% 257
2020
Q3
$42.2M Buy
1,739,300
+2,200
+0.1% +$53.3K 0.1% 234
2020
Q2
$41M Hold
1,737,100
0.1% 228
2020
Q1
$36.6M Hold
1,737,100
0.11% 207
2019
Q4
$44.8M Hold
1,737,100
0.1% 234
2019
Q3
$42.1M Buy
1,737,100
+64,500
+4% +$1.56M 0.1% 223
2019
Q2
$41.4M Buy
1,672,600
+35,000
+2% +$866K 0.1% 220
2019
Q1
$42.8M Sell
1,637,600
-20,300
-1% -$530K 0.11% 212
2018
Q4
$37.7M Hold
1,657,900
0.1% 218
2018
Q3
$43.9M Sell
1,657,900
-125,900
-7% -$3.33M 0.1% 210
2018
Q2
$45.1M Buy
1,783,800
+2,150
+0.1% +$54.4K 0.13% 141
2018
Q1
$38M Hold
1,781,650
0.11% 158
2017
Q4
$34.6M Hold
1,781,650
0.1% 169
2017
Q3
$30M Hold
1,781,650
0.09% 199
2017
Q2
$31.3M Hold
1,781,650
0.09% 196
2017
Q1
$28.8M Hold
1,781,650
0.08% 212
2016
Q4
$26M Hold
1,781,650
0.08% 222
2016
Q3
$24.5M Hold
1,781,650
0.07% 229
2016
Q2
$20.1M Hold
1,781,650
0.06% 265
2016
Q1
$21.1M Hold
1,781,650
0.07% 257
2015
Q4
$27.3M Buy
1,781,650
+2,350
+0.1% +$36.1K 0.09% 216
2015
Q3
$28.9M Sell
1,779,300
-23,600
-1% -$384K 0.09% 219
2015
Q2
$40M Hold
1,802,900
0.12% 182
2015
Q1
$37.7M Sell
1,802,900
-29,500
-2% -$617K 0.11% 176
2014
Q4
$40.3M Sell
1,832,400
-496,175
-21% -$10.9M 0.12% 157
2014
Q3
$41.1M Sell
2,328,575
-168,925
-7% -$2.98M 0.13% 152
2014
Q2
$42.1M Buy
2,497,500
+16,700
+0.7% +$282K 0.13% 150
2014
Q1
$43.9M Sell
2,480,800
-39,100
-2% -$691K 0.15% 138
2013
Q4
$45.3M Buy
2,519,900
+28,000
+1% +$503K 0.16% 128
2013
Q3
$34.8M Sell
2,491,900
-39,300
-2% -$548K 0.13% 148
2013
Q2
$34.9M Buy
+2,531,200
New +$34.9M 0.14% 145