Franklin Resources’s SpartanNash SPTN Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$724K Sell
27,329
-1,135
-4% -$30.1K ﹤0.01% 2143
2025
Q1
$577K Buy
+28,464
New +$577K ﹤0.01% 2195
2024
Q4
Sell
-9,812
Closed -$211K 3008
2024
Q3
$211K Buy
+9,812
New +$211K ﹤0.01% 2615
2022
Q4
Sell
-27,849
Closed -$808K 2375
2022
Q3
$808K Buy
27,849
+228
+0.8% +$6.62K ﹤0.01% 1557
2022
Q2
$834K Sell
27,621
-17,855
-39% -$539K ﹤0.01% 1577
2022
Q1
$1.5M Sell
45,476
-2,483
-5% -$82K ﹤0.01% 1493
2021
Q4
$1.24M Sell
47,959
-401
-0.8% -$10.3K ﹤0.01% 1610
2021
Q3
$1.06M Buy
+48,360
New +$1.06M ﹤0.01% 1618
2019
Q3
Sell
-655,719
Closed -$7.65M 1556
2019
Q2
$7.65M Sell
655,719
-800
-0.1% -$9.34K ﹤0.01% 948
2019
Q1
$10.4M Buy
656,519
+81,600
+14% +$1.29M 0.01% 867
2018
Q4
$9.88M Hold
574,919
0.01% 867
2018
Q3
$11.5M Hold
574,919
0.01% 905
2018
Q2
$14.7M Hold
574,919
0.01% 846
2018
Q1
$9.9M Buy
574,919
+800
+0.1% +$13.8K 0.01% 928
2017
Q4
$15.3M Sell
574,119
-9,646
-2% -$257K 0.01% 853
2017
Q3
$15.4M Buy
583,765
+6
+0% +$158 0.01% 863
2017
Q2
$15.2M Sell
583,759
-1,660
-0.3% -$43.1K 0.01% 865
2017
Q1
$20.5M Sell
585,419
-8,680
-1% -$304K 0.01% 779
2016
Q4
$23.5M Sell
594,099
-122,681
-17% -$4.85M 0.01% 749
2016
Q3
$20.7M Sell
716,780
-2,380
-0.3% -$68.8K 0.01% 801
2016
Q2
$22M Sell
719,160
-199,430
-22% -$6.1M 0.01% 780
2016
Q1
$27.8M Sell
918,590
-72,090
-7% -$2.19M 0.01% 716
2015
Q4
$21.4M Sell
990,680
-7,380
-0.7% -$160K 0.01% 821
2015
Q3
$25.8M Sell
998,060
-85,920
-8% -$2.22M 0.01% 767
2015
Q2
$35.3M Sell
1,083,980
-167,300
-13% -$5.44M 0.02% 728
2015
Q1
$39.5M Sell
1,251,280
-195,830
-14% -$6.18M 0.02% 683
2014
Q4
$37.8M Sell
1,447,110
-45,040
-3% -$1.18M 0.02% 695
2014
Q3
$29M Hold
1,492,150
0.01% 760
2014
Q2
$31.4M Sell
1,492,150
-42,850
-3% -$900K 0.01% 749
2014
Q1
$35.6M Sell
1,535,000
-93,310
-6% -$2.17M 0.02% 699
2013
Q4
$39.5M Sell
1,628,310
-7,210
-0.4% -$175K 0.02% 623
2013
Q3
$36.1M Buy
1,635,520
+167,140
+11% +$3.69M 0.02% 641
2013
Q2
$27.1M Buy
+1,468,380
New +$27.1M 0.02% 686