HWA
MYC

HCR Wealth Advisors’s Blackrock Muni Yield California Fund, Inc. MYC Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q2
Sell
-23,885
Closed -$311K 202
2022
Q1
$311K Sell
23,885
-20,832
-47% -$271K 0.05% 155
2021
Q4
$673K Sell
44,717
-4,200
-9% -$63.2K 0.1% 119
2021
Q3
$743K Buy
48,917
+600
+1% +$9.11K 0.12% 115
2021
Q2
$744K Sell
48,317
-100
-0.2% -$1.54K 0.13% 110
2021
Q1
$714K Sell
48,417
-10,125
-17% -$149K 0.14% 106
2020
Q4
$866K Sell
58,542
-600
-1% -$8.88K 0.18% 93
2020
Q3
$819K Buy
59,142
+1,975
+3% +$27.4K 0.19% 86
2020
Q2
$799K Buy
57,167
+2,200
+4% +$30.7K 0.19% 80
2020
Q1
$727K Buy
+54,967
New +$727K 0.21% 77
2019
Q4
Sell
-52,367
Closed -$753K 252
2019
Q3
$753K Hold
52,367
0.25% 74
2019
Q2
$735K Buy
52,367
+1,000
+2% +$14K 0.21% 84
2019
Q1
$687K Buy
+51,367
New +$687K 0.2% 91
2018
Q4
Sell
-54,067
Closed -$680K 174
2018
Q3
$680K Buy
54,067
+12,402
+30% +$156K 0.22% 88
2018
Q2
$555K Buy
41,665
+10,605
+34% +$141K 0.18% 102
2018
Q1
$414K Buy
31,060
+1,375
+5% +$18.3K 0.14% 117
2017
Q4
$439K Sell
29,685
-2,600
-8% -$38.5K 0.15% 113
2017
Q3
$499K Sell
32,285
-800
-2% -$12.4K 0.21% 99
2017
Q2
$503K Sell
33,085
-2,050
-6% -$31.2K 0.25% 84
2017
Q1
$518K Buy
35,135
+2,250
+7% +$33.2K 0.27% 84
2016
Q4
$502K Buy
+32,885
New +$502K 0.27% 85