First Mercantile Trust’s Discovery, Inc. Series A Common Stock DISCA Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q3
$12K Sell
477
-26
-5% -$654 ﹤0.01% 833
2021
Q2
$15K Buy
503
+31
+7% +$924 ﹤0.01% 846
2021
Q1
$21K Sell
472
-3,044
-87% -$135K ﹤0.01% 831
2020
Q4
$106K Sell
3,516
-30
-0.8% -$904 0.01% 674
2020
Q3
$78K Sell
3,546
-6,903
-66% -$152K 0.01% 731
2020
Q2
$220K Buy
10,449
+464
+5% +$9.77K 0.03% 366
2020
Q1
$194K Buy
9,985
+95
+1% +$1.85K 0.03% 351
2019
Q4
$324K Sell
9,890
-1,635
-14% -$53.6K 0.04% 319
2019
Q3
$307K Buy
11,525
+430
+4% +$11.5K 0.03% 352
2019
Q2
$341K Sell
11,095
-380
-3% -$11.7K 0.04% 285
2019
Q1
$310K Sell
11,475
-875
-7% -$23.6K 0.07% 316
2018
Q4
$306K Buy
12,350
+305
+3% +$7.56K 0.07% 306
2018
Q3
$385K Buy
12,045
+1,555
+15% +$49.7K 0.08% 309
2018
Q2
$288K Sell
10,490
-110
-1% -$3.02K 0.06% 391
2018
Q1
$227K Buy
10,600
+2,660
+34% +$57K 0.05% 459
2017
Q4
$178K Sell
7,940
-1,835
-19% -$41.1K 0.03% 569
2017
Q3
$208K Sell
9,775
-4,995
-34% -$106K 0.04% 553
2017
Q2
$381K Sell
14,770
-1,598
-10% -$41.2K 0.07% 361
2017
Q1
$476K Sell
16,368
-723
-4% -$21K 0.07% 355
2016
Q4
$468K Sell
17,091
-73
-0.4% -$2K 0.07% 368
2016
Q3
$462K Sell
17,164
-29,044
-63% -$782K 0.06% 381
2016
Q2
$1.17M Sell
46,208
-10,232
-18% -$258K 0.15% 174
2016
Q1
$1.62M Sell
56,440
-1,943
-3% -$55.6K 0.2% 117
2015
Q4
$1.56M Buy
58,383
+2,436
+4% +$65K 0.16% 151
2015
Q3
$1.46M Sell
55,947
-1,085
-2% -$28.3K 0.15% 165
2015
Q2
$1.9M Sell
57,032
-834
-1% -$27.7K 0.16% 157
2015
Q1
$1.78M Buy
57,866
+19,029
+49% +$585K 0.15% 179
2014
Q4
$1.34M Buy
38,837
+9,938
+34% +$342K 0.11% 241
2014
Q3
$1.09M Buy
28,899
+5,636
+24% +$213K 0.09% 303
2014
Q2
$883K Sell
23,263
-104
-0.4% -$3.95K 0.07% 381
2014
Q1
$987K Sell
23,367
-2,622
-10% -$111K 0.07% 373
2013
Q4
$1.2M Buy
25,989
+5,961
+30% +$275K 0.09% 307
2013
Q3
$864K Sell
20,028
-2,544
-11% -$110K 0.07% 422
2013
Q2
$891K Buy
+22,572
New +$891K 0.08% 364