Kistler-Tiffany Companies’s Johnson Controls International JCI Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2023
Q2
$29.7K Hold
436
﹤0.01% 560
2023
Q1
$26.3K Hold
436
0.01% 513
2022
Q4
$27.9K Hold
436
0.01% 490
2022
Q3
$21K Hold
436
﹤0.01% 489
2022
Q2
$21K Sell
436
-350
-45% -$16.9K ﹤0.01% 496
2022
Q1
$52K Hold
786
0.01% 389
2021
Q4
$64K Sell
786
-350
-31% -$28.5K 0.01% 351
2021
Q3
$77K Sell
1,136
-46
-4% -$3.12K 0.02% 312
2021
Q2
$81K Hold
1,182
0.02% 298
2021
Q1
$71K Buy
1,182
+1
+0.1% +$60 0.02% 289
2020
Q4
$55K Sell
1,181
-7
-0.6% -$326 0.02% 291
2020
Q3
$49K Buy
1,188
+7
+0.6% +$289 0.02% 273
2020
Q2
$40K Sell
1,181
-390
-25% -$13.2K 0.01% 275
2020
Q1
$64K Sell
1,571
-1,571
-50% -$64K 0.02% 236
2019
Q4
$133K Buy
3,142
+1,572
+100% +$66.5K 0.05% 173
2019
Q3
$69K Buy
1,570
+390
+33% +$17.1K 0.03% 225
2019
Q2
$49K Buy
1,180
+1
+0.1% +$42 0.02% 257
2019
Q1
$44K Sell
1,179
-215
-15% -$8.02K 0.02% 258
2018
Q4
$41K Sell
1,394
-1,182
-46% -$34.8K 0.02% 244
2018
Q3
$90K Sell
2,576
-2,094
-45% -$73.2K 0.04% 196
2018
Q2
$156K Sell
4,670
-834
-15% -$27.9K 0.07% 144
2018
Q1
$194K Sell
5,504
-254
-4% -$8.95K 0.08% 132
2017
Q4
$219K Sell
5,758
-856
-13% -$32.6K 0.09% 134
2017
Q3
$266K Buy
6,614
+151
+2% +$6.07K 0.11% 114
2017
Q2
$280K Buy
6,463
+350
+6% +$15.2K 0.13% 103
2017
Q1
$257K Hold
6,113
0.12% 102
2016
Q4
$252K Sell
6,113
-797
-12% -$32.9K 0.12% 104
2016
Q3
$322K Sell
6,910
-75
-1% -$3.5K 0.16% 89
2016
Q2
$324K Buy
6,985
+228
+3% +$10.6K 0.17% 88
2016
Q1
$276K Buy
6,757
+703
+12% +$28.7K 0.15% 94
2015
Q4
$260K Buy
6,054
+180
+3% +$7.73K 0.14% 99
2015
Q3
$264K Buy
5,874
+2,074
+55% +$93.2K 0.16% 95
2015
Q2
$197K Buy
3,800
+1,041
+38% +$54K 0.12% 123
2015
Q1
$146K Buy
2,759
+621
+29% +$32.9K 0.09% 135
2014
Q4
$108K Buy
2,138
+387
+22% +$19.5K 0.07% 165
2014
Q3
$81K Buy
1,751
+1,045
+148% +$48.3K 0.05% 196
2014
Q2
$37K Buy
706
+157
+29% +$8.23K 0.03% 271
2014
Q1
$27K Buy
549
+85
+18% +$4.18K 0.02% 309
2013
Q4
$25K Hold
464
0.02% 324
2013
Q3
$20K Hold
464
0.02% 352
2013
Q2
$17K Buy
+464
New +$17K 0.01% 357