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Fruth Investment Management’s PACCAR PCAR Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$763K Hold
8,032
0.21% 111
2025
Q1
$782K Sell
8,032
-75
-0.9% -$7.3K 0.22% 107
2024
Q4
$843K Sell
8,107
-30
-0.4% -$3.12K 0.23% 101
2024
Q3
$802K Hold
8,137
0.21% 111
2024
Q2
$837K Hold
8,137
0.23% 103
2024
Q1
$1.01M Hold
8,137
0.26% 101
2023
Q4
$794K Sell
8,137
-12
-0.1% -$1.17K 0.22% 106
2023
Q3
$692K Hold
8,149
0.21% 112
2023
Q2
$681K Sell
8,149
-100
-1% -$8.36K 0.19% 116
2023
Q1
$603K Buy
8,249
+2,749
+50% +$201K 0.17% 125
2022
Q4
$544K Hold
5,500
0.16% 137
2022
Q3
$460K Hold
5,500
0.15% 140
2022
Q2
$491K Hold
5,500
0.13% 142
2022
Q1
$484K Hold
5,500
0.13% 144
2021
Q4
$485K Hold
5,500
0.13% 140
2021
Q3
$434K Hold
5,500
0.13% 138
2021
Q2
$490K Hold
5,500
0.15% 134
2021
Q1
$511K Hold
5,500
0.16% 127
2020
Q4
$474K Hold
5,500
0.17% 122
2020
Q3
$469K Hold
5,500
0.19% 113
2020
Q2
$411K Hold
5,500
0.17% 120
2020
Q1
$336K Buy
5,500
+200
+4% +$12.2K 0.17% 122
2019
Q4
$419K Hold
5,300
0.16% 127
2019
Q3
$371K Hold
5,300
0.15% 129
2019
Q2
$379K Hold
5,300
0.15% 132
2019
Q1
$361K Sell
5,300
-400
-7% -$27.2K 0.15% 130
2018
Q4
$325K Hold
5,700
0.15% 130
2018
Q3
$388K Hold
5,700
0.16% 132
2018
Q2
$353K Hold
5,700
0.15% 138
2018
Q1
$377K Hold
5,700
0.17% 133
2017
Q4
$405K Hold
5,700
0.17% 133
2017
Q3
$412K Hold
5,700
0.19% 124
2017
Q2
$376K Hold
5,700
0.18% 127
2017
Q1
$383K Hold
5,700
0.18% 127
2016
Q4
$364K Hold
5,700
0.17% 131
2016
Q3
$335K Hold
5,700
0.17% 135
2016
Q2
$295K Hold
5,700
0.14% 145
2016
Q1
$311K Hold
5,700
0.16% 138
2015
Q4
$270K Sell
5,700
-300
-5% -$14.2K 0.14% 147
2015
Q3
$313K Hold
6,000
0.16% 142
2015
Q2
$382K Sell
6,000
-800
-12% -$50.9K 0.18% 135
2015
Q1
$429K Hold
6,800
0.19% 138
2014
Q4
$462K Hold
6,800
0.2% 141
2014
Q3
$386K Buy
6,800
+800
+13% +$45.4K 0.17% 151
2014
Q2
$395K Sell
6,000
-100
-2% -$6.58K 0.18% 145
2014
Q1
$401K Hold
6,100
0.19% 141
2013
Q4
$360K Hold
6,100
0.17% 143
2013
Q3
$339K Sell
6,100
-300
-5% -$16.7K 0.18% 141
2013
Q2
$343K Buy
+6,400
New +$343K 0.19% 139