FCM
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Frontier Capital Management’s Quanta Services PWR Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$67.7M Sell
178,967
-20,706
-10% -$7.83M 0.63% 31
2025
Q1
$50.8M Buy
199,673
+4,334
+2% +$1.1M 0.56% 58
2024
Q4
$61.7M Sell
195,339
-74,222
-28% -$23.5M 0.59% 53
2024
Q3
$80.4M Buy
269,561
+13,708
+5% +$4.09M 0.76% 31
2024
Q2
$65M Sell
255,853
-17,604
-6% -$4.47M 0.64% 37
2024
Q1
$71M Sell
273,457
-46,875
-15% -$12.2M 0.66% 42
2023
Q4
$69.1M Sell
320,332
-134,867
-30% -$29.1M 0.7% 37
2023
Q3
$85.2M Sell
455,199
-95,622
-17% -$17.9M 0.94% 19
2023
Q2
$108M Sell
550,821
-2,689
-0.5% -$528K 1.04% 17
2023
Q1
$92.2M Sell
553,510
-76,931
-12% -$12.8M 0.95% 20
2022
Q4
$89.8M Buy
630,441
+24,457
+4% +$3.49M 0.98% 19
2022
Q3
$77.2M Sell
605,984
-266,106
-31% -$33.9M 0.91% 21
2022
Q2
$109M Sell
872,090
-222,456
-20% -$27.9M 1.26% 8
2022
Q1
$144M Sell
1,094,546
-200,102
-15% -$26.3M 1.3% 7
2021
Q4
$148M Sell
1,294,648
-373,230
-22% -$42.8M 1.17% 13
2021
Q3
$190M Sell
1,667,878
-256,206
-13% -$29.2M 1.49% 7
2021
Q2
$174M Sell
1,924,084
-355,046
-16% -$32.2M 1.28% 5
2021
Q1
$201M Sell
2,279,130
-279,217
-11% -$24.6M 1.52% 5
2020
Q4
$184M Sell
2,558,347
-597,977
-19% -$43.1M 1.36% 4
2020
Q3
$167M Sell
3,156,324
-33,212
-1% -$1.76M 1.46% 4
2020
Q2
$125M Buy
3,189,536
+34,353
+1% +$1.35M 1.11% 14
2020
Q1
$100M Buy
3,155,183
+552,598
+21% +$17.5M 1.12% 16
2019
Q4
$106M Buy
2,602,585
+2,138,489
+461% +$87.1M 0.78% 38
2019
Q3
$17.5M Buy
+464,096
New +$17.5M 0.14% 185
2015
Q4
Sell
-780,198
Closed -$18.9M 365
2015
Q3
$18.9M Sell
780,198
-579,848
-43% -$14M 0.16% 199
2015
Q2
$39.2M Sell
1,360,046
-7,047
-0.5% -$203K 0.28% 129
2015
Q1
$39M Sell
1,367,093
-48,369
-3% -$1.38M 0.28% 135
2014
Q4
$40.2M Sell
1,415,462
-38,530
-3% -$1.09M 0.3% 120
2014
Q3
$52.8M Sell
1,453,992
-78,461
-5% -$2.85M 0.42% 79
2014
Q2
$53M Sell
1,532,453
-60,579
-4% -$2.09M 0.39% 94
2014
Q1
$58.8M Sell
1,593,032
-146,464
-8% -$5.4M 0.43% 80
2013
Q4
$54.9M Sell
1,739,496
-120,134
-6% -$3.79M 0.41% 84
2013
Q3
$51.2M Sell
1,859,630
-2,600,263
-58% -$71.5M 0.39% 87
2013
Q2
$118M Buy
+4,459,893
New +$118M 0.98% 14