FFA
GM icon

First Foundation Advisors’s General Motors GM Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2024
Q3
Sell
-3,105
Closed -$144K 389
2024
Q2
$144K Sell
3,105
-1,008
-25% -$46.8K 0.01% 346
2024
Q1
$187K Buy
4,113
+4
+0.1% +$181 0.01% 337
2023
Q4
$148K Sell
4,109
-3,540
-46% -$127K 0.01% 362
2023
Q3
$252K Buy
7,649
+623
+9% +$20.5K 0.01% 352
2023
Q2
$271K Buy
7,026
+338
+5% +$13K 0.01% 333
2023
Q1
$245K Buy
6,688
+25
+0.4% +$917 0.01% 327
2022
Q4
$224K Buy
6,663
+77
+1% +$2.59K 0.01% 351
2022
Q3
$211K Sell
6,586
-62
-0.9% -$1.99K 0.01% 343
2022
Q2
$211K Buy
6,648
+526
+9% +$16.7K 0.01% 370
2022
Q1
$268K Sell
6,122
-1,167
-16% -$51.1K 0.01% 352
2021
Q4
$427K Buy
7,289
+1,265
+21% +$74.1K 0.01% 293
2021
Q3
$318K Sell
6,024
-136
-2% -$7.18K 0.01% 341
2021
Q2
$364K Sell
6,160
-998
-14% -$59K 0.01% 338
2021
Q1
$411K Sell
7,158
-647
-8% -$37.2K 0.02% 296
2020
Q4
$325K Buy
7,805
+565
+8% +$23.5K 0.01% 325
2020
Q3
$214K Buy
+7,240
New +$214K 0.01% 344
2020
Q1
Sell
-6,871
Closed -$251K 355
2019
Q4
$251K Sell
6,871
-89
-1% -$3.25K 0.01% 313
2019
Q3
$261K Sell
6,960
-1,017
-13% -$38.1K 0.01% 306
2019
Q2
$307K Buy
+7,977
New +$307K 0.02% 271
2019
Q1
Sell
-8,291
Closed -$277K 352
2018
Q4
$277K Sell
8,291
-2,266
-21% -$75.7K 0.02% 322
2018
Q3
$355K Buy
10,557
+1,698
+19% +$57.1K 0.02% 267
2018
Q2
$349K Sell
8,859
-9,106
-51% -$359K 0.02% 251
2018
Q1
$653K Buy
17,965
+9,176
+104% +$334K 0.04% 192
2017
Q4
$360K Buy
+8,789
New +$360K 0.02% 250
2016
Q4
Sell
-36,203
Closed -$1.15M 316
2016
Q3
$1.15M Buy
36,203
+18,000
+99% +$572K 0.08% 127
2016
Q2
$515K Buy
18,203
+439
+2% +$12.4K 0.04% 187
2016
Q1
$558K Buy
17,764
+175
+1% +$5.5K 0.04% 167
2015
Q4
$598K Buy
17,589
+2,312
+15% +$78.6K 0.04% 167
2015
Q3
$459K Buy
+15,277
New +$459K 0.04% 158
2015
Q1
Sell
-11,040
Closed -$385K 250
2014
Q4
$385K Sell
11,040
-348,805
-97% -$12.2M 0.03% 168
2014
Q3
$11.5M Buy
359,845
+9,436
+3% +$301K 1.14% 36
2014
Q2
$12.7M Buy
350,409
+29,269
+9% +$1.06M 1.39% 32
2014
Q1
$11.1M Buy
+321,140
New +$11.1M 1.37% 34