HL Financial Services’s Cirrus Logic CRUS Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2018
Q1
Sell
-10,156
Closed -$527K 695
2017
Q4
$527K Sell
10,156
-175
-2% -$9.45K 0.01% 419
2017
Q3
$551K Sell
10,331
-538
-5% -$31.5K 0.01% 466
2017
Q2
$682K Sell
10,869
-95
-0.9% -$6.15K 0.01% 408
2017
Q1
$665K Buy
10,964
+34
+0.3% +$1.94K 0.01% 400
2016
Q4
$618K Sell
10,930
-1,129
-9% -$62.5K 0.01% 407
2016
Q3
$641K Sell
12,059
-1,432
-11% -$68.9K 0.01% 385
2016
Q2
$523K Buy
13,491
+13
+0.1% +$466 0.01% 420
2016
Q1
$491K Sell
13,478
-419
-3% -$13.6K 0.01% 435
2015
Q4
$410K Sell
13,897
-373
-3% -$11.6K 0.01% 488
2015
Q3
$450K Sell
14,270
-485
-3% -$14.9K 0.01% 447
2015
Q2
$502K Sell
14,755
-1,763
-11% -$62.1K 0.01% 453
2015
Q1
$549K Buy
+16,518
New +$479K 0.01% 439
2014
Q3
Sell
-19,210
Closed -$437K 679
2014
Q2
$437K Buy
19,210
+1,639
+9% +$35.9K 0.01% 452
2014
Q1
$349K Buy
17,571
+1,633
+10% +$31.1K 0.01% 485
2013
Q4
$326K Buy
15,938
+650
+4% +$14K 0.01% 489
2013
Q3
$346K Buy
+15,288
New +$316K 0.01% 432

Other funds holding CRUS