First Hawaiian Bank’s Gilead Sciences GILD Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q1
Sell
-56,115
Closed -$5.18M 356
2024
Q4
$5.18M Buy
56,115
+177
+0.3% +$16.3K 0.17% 76
2024
Q3
$4.69M Sell
55,938
-309
-0.5% -$25.9K 0.15% 85
2024
Q2
$3.86M Buy
56,247
+25
+0% +$1.72K 0.13% 105
2024
Q1
$4.12M Sell
56,222
-962
-2% -$70.5K 0.13% 104
2023
Q4
$4.63M Buy
57,184
+522
+0.9% +$42.3K 0.15% 83
2023
Q3
$4.25M Buy
56,662
+475
+0.8% +$35.6K 0.14% 86
2023
Q2
$4.33M Buy
56,187
+9,611
+21% +$741K 0.14% 84
2023
Q1
$3.86M Sell
46,576
-2,962
-6% -$246K 0.13% 97
2022
Q4
$4.25M Sell
49,538
-748
-1% -$64.2K 0.15% 73
2022
Q3
$3.1M Sell
50,286
-875
-2% -$54K 0.12% 110
2022
Q2
$3.16M Buy
51,161
+100
+0.2% +$6.18K 0.11% 123
2022
Q1
$3.04M Sell
51,061
-91
-0.2% -$5.41K 0.09% 153
2021
Q4
$3.71M Buy
51,152
+47,899
+1,472% +$3.48M 0.11% 131
2021
Q3
$227K Buy
+3,253
New +$227K 0.01% 770
2021
Q2
Sell
-4,311
Closed -$279K 861
2021
Q1
$279K Buy
4,311
+92
+2% +$5.95K 0.01% 733
2020
Q4
$246K Sell
4,219
-172
-4% -$10K 0.01% 717
2020
Q3
$278K Sell
4,391
-7,012
-61% -$444K 0.01% 622
2020
Q2
$877K Sell
11,403
-11,759
-51% -$904K 0.05% 283
2020
Q1
$1.73M Sell
23,162
-13,756
-37% -$1.03M 0.11% 143
2019
Q4
$2.4M Sell
36,918
-551
-1% -$35.8K 0.12% 124
2019
Q3
$2.38M Buy
37,469
+4,813
+15% +$305K 0.12% 122
2019
Q2
$2.21M Buy
32,656
+21,473
+192% +$1.45M 0.12% 127
2019
Q1
$727K Sell
11,183
-29,641
-73% -$1.93M 0.04% 324
2018
Q4
$2.55M Sell
40,824
-3,590
-8% -$225K 0.15% 96
2018
Q3
$3.43M Buy
+44,414
New +$3.43M 0.18% 79
2016
Q2
Sell
-2,823
Closed -$259K 86
2016
Q1
$259K Sell
2,823
-717
-20% -$65.8K 0.04% 74
2015
Q4
$358K Sell
3,540
-157
-4% -$15.9K 0.06% 66
2015
Q3
$363K Buy
3,697
+98
+3% +$9.62K 0.06% 61
2015
Q2
$421K Sell
3,599
-19
-0.5% -$2.22K 0.07% 56
2015
Q1
$355K Sell
3,618
-3,972
-52% -$390K 0.06% 63
2014
Q4
$716K Sell
7,590
-169
-2% -$15.9K 0.12% 47
2014
Q3
$826K Sell
7,759
-706
-8% -$75.2K 0.14% 37
2014
Q2
$702K Sell
8,465
-841
-9% -$69.7K 0.12% 46
2014
Q1
$660K Buy
9,306
+4,990
+116% +$354K 0.12% 48
2013
Q4
$324K Sell
4,316
-2,090
-33% -$157K 0.06% 120
2013
Q3
$402K Buy
6,406
+1,256
+24% +$78.8K 0.08% 97
2013
Q2
$264K Buy
+5,150
New +$264K 0.05% 121