Gotham Asset Management’s CommScope COMM Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$3.08M Buy
+371,793
New +$3.08M 0.02% 793
2024
Q2
Sell
-10,827
Closed -$14.2K 1428
2024
Q1
$14.2K Sell
10,827
-14,114
-57% -$18.5K ﹤0.01% 1364
2023
Q4
$70.3K Sell
24,941
-5,386
-18% -$15.2K ﹤0.01% 1305
2023
Q3
$102K Buy
30,327
+17,342
+134% +$58.3K ﹤0.01% 1285
2023
Q2
$73.1K Sell
12,985
-7,054
-35% -$39.7K ﹤0.01% 1274
2023
Q1
$128K Buy
+20,039
New +$128K ﹤0.01% 1277
2022
Q4
Sell
-25,000
Closed -$230K 1221
2022
Q3
$230K Sell
25,000
-28,512
-53% -$262K 0.01% 1049
2022
Q2
$327K Buy
+53,512
New +$327K 0.01% 908
2020
Q4
Sell
-105,680
Closed -$951K 1013
2020
Q3
$951K Buy
+105,680
New +$951K 0.03% 554
2019
Q3
Sell
-53,859
Closed -$847K 1108
2019
Q2
$847K Sell
53,859
-560,858
-91% -$8.82M 0.01% 673
2019
Q1
$13.4M Sell
614,717
-285,892
-32% -$6.21M 0.2% 152
2018
Q4
$14.8M Buy
900,609
+591,068
+191% +$9.69M 0.23% 131
2018
Q3
$9.52M Buy
309,541
+233,323
+306% +$7.18M 0.13% 229
2018
Q2
$2.23M Buy
76,218
+7,229
+10% +$211K 0.03% 460
2018
Q1
$2.76M Buy
+68,989
New +$2.76M 0.04% 449
2017
Q4
Sell
-53,865
Closed -$1.79M 953
2017
Q3
$1.79M Sell
53,865
-302,436
-85% -$10M 0.03% 529
2017
Q2
$13.6M Sell
356,301
-43,503
-11% -$1.65M 0.19% 176
2017
Q1
$16.7M Sell
399,804
-401,423
-50% -$16.7M 0.21% 159
2016
Q4
$29.8M Buy
801,227
+146,426
+22% +$5.45M 0.38% 56
2016
Q3
$19.7M Buy
654,801
+477,211
+269% +$14.4M 0.26% 129
2016
Q2
$5.51M Buy
177,590
+168,101
+1,772% +$5.22M 0.07% 374
2016
Q1
$265K Sell
9,489
-709,289
-99% -$19.8M ﹤0.01% 862
2015
Q4
$18.6M Sell
718,778
-365,460
-34% -$9.46M 0.2% 164
2015
Q3
$32.6M Sell
1,084,238
-107,449
-9% -$3.23M 0.32% 111
2015
Q2
$36.4M Sell
1,191,687
-161,141
-12% -$4.92M 0.3% 108
2015
Q1
$38.6M Sell
1,352,828
-273,505
-17% -$7.81M 0.29% 127
2014
Q4
$37.1M Buy
1,626,333
+798,283
+96% +$18.2M 0.3% 121
2014
Q3
$19.8M Sell
828,050
-35,742
-4% -$855K 0.2% 186
2014
Q2
$20M Buy
863,792
+841,452
+3,767% +$19.5M 0.25% 138
2014
Q1
$551K Buy
+22,340
New +$551K 0.01% 771