Granahan Investment Management’s Pure Storage PSTG Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$14.5M Buy
252,138
+5,836
+2% +$336K 0.59% 46
2025
Q1
$10.9M Buy
246,302
+78,404
+47% +$3.47M 0.54% 57
2024
Q4
$10.3M Buy
167,898
+7,723
+5% +$474K 0.43% 65
2024
Q3
$8.05M Sell
160,175
-36,079
-18% -$1.81M 0.32% 95
2024
Q2
$12.6M Sell
196,254
-363,994
-65% -$23.4M 0.5% 62
2024
Q1
$29.1M Buy
560,248
+93,459
+20% +$4.86M 1.02% 24
2023
Q4
$16.6M Sell
466,789
-29,844
-6% -$1.06M 0.55% 55
2023
Q3
$17.7M Sell
496,633
-142,227
-22% -$5.07M 0.63% 47
2023
Q2
$23.5M Sell
638,860
-250,335
-28% -$9.22M 0.72% 42
2023
Q1
$22.7M Buy
889,195
+224,507
+34% +$5.73M 0.69% 44
2022
Q4
$17.8M Sell
664,688
-3,442
-0.5% -$92.1K 0.54% 55
2022
Q3
$18.3M Buy
668,130
+40,075
+6% +$1.1M 0.6% 46
2022
Q2
$16.1M Sell
628,055
-15,003
-2% -$386K 0.55% 49
2022
Q1
$22.7M Sell
643,058
-90,369
-12% -$3.19M 0.56% 46
2021
Q4
$23.9M Sell
733,427
-25,714
-3% -$837K 0.49% 52
2021
Q3
$19.1M Buy
759,141
+333,451
+78% +$8.39M 0.36% 70
2021
Q2
$8.31M Buy
425,690
+160,774
+61% +$3.14M 0.15% 124
2021
Q1
$5.71M Buy
264,916
+10,679
+4% +$230K 0.12% 134
2020
Q4
$5.75M Sell
254,237
-159,110
-38% -$3.6M 0.13% 123
2020
Q3
$6.36M Sell
413,347
-229,894
-36% -$3.54M 0.22% 96
2020
Q2
$11.1M Sell
643,241
-11,108
-2% -$193K 0.4% 69
2020
Q1
$8.05M Buy
654,349
+290,808
+80% +$3.58M 0.43% 60
2019
Q4
$6.22M Buy
363,541
+85,607
+31% +$1.46M 0.29% 81
2019
Q3
$4.71M Buy
277,934
+54,399
+24% +$921K 0.26% 89
2019
Q2
$3.41M Sell
223,535
-9,688
-4% -$148K 0.17% 111
2019
Q1
$5.08M Buy
233,223
+21,992
+10% +$479K 0.27% 95
2018
Q4
$3.4M Buy
211,231
+3,492
+2% +$56.2K 0.24% 100
2018
Q3
$5.39M Sell
207,739
-20,781
-9% -$539K 0.29% 92
2018
Q2
$5.46M Buy
228,520
+24,248
+12% +$579K 0.33% 96
2018
Q1
$4.08M Sell
204,272
-7,335
-3% -$146K 0.29% 101
2017
Q4
$3.36M Buy
211,607
+14,434
+7% +$229K 0.26% 112
2017
Q3
$3.15M Buy
197,173
+24,663
+14% +$394K 0.26% 116
2017
Q2
$2.21M Buy
+172,510
New +$2.21M 0.2% 130