Kistler-Tiffany Companies’s McDonald's MCD Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2023
Q2
$840K Sell
2,814
-113
-4% -$33.7K 0.14% 133
2023
Q1
$818K Buy
2,927
+3
+0.1% +$839 0.16% 108
2022
Q4
$771K Sell
2,924
-370
-11% -$97.5K 0.16% 110
2022
Q3
$760K Buy
3,294
+76
+2% +$17.5K 0.17% 100
2022
Q2
$794K Buy
3,218
+96
+3% +$23.7K 0.17% 97
2022
Q1
$772K Sell
3,122
-21
-0.7% -$5.19K 0.15% 102
2021
Q4
$843K Sell
3,143
-41
-1% -$11K 0.16% 87
2021
Q3
$768K Buy
3,184
+6
+0.2% +$1.45K 0.17% 87
2021
Q2
$734K Buy
3,178
+10
+0.3% +$2.31K 0.17% 89
2021
Q1
$710K Buy
3,168
+194
+7% +$43.5K 0.18% 89
2020
Q4
$638K Sell
2,974
-14
-0.5% -$3K 0.18% 81
2020
Q3
$656K Buy
2,988
+107
+4% +$23.5K 0.21% 78
2020
Q2
$531K Buy
2,881
+334
+13% +$61.6K 0.19% 81
2020
Q1
$503K Hold
2,547
0.18% 81
2019
Q4
$503K Sell
2,547
-136
-5% -$26.9K 0.18% 83
2019
Q3
$576K Buy
2,683
+266
+11% +$57.1K 0.22% 69
2019
Q2
$502K Sell
2,417
-551
-19% -$114K 0.19% 75
2019
Q1
$564K Sell
2,968
-110
-4% -$20.9K 0.23% 67
2018
Q4
$547K Sell
3,078
-154
-5% -$27.4K 0.25% 66
2018
Q3
$541K Sell
3,232
-504
-13% -$84.4K 0.22% 74
2018
Q2
$585K Sell
3,736
-60
-2% -$9.4K 0.26% 70
2018
Q1
$594K Sell
3,796
-170
-4% -$26.6K 0.24% 73
2017
Q4
$683K Sell
3,966
-301
-7% -$51.8K 0.27% 67
2017
Q3
$669K Buy
4,267
+530
+14% +$83.1K 0.28% 63
2017
Q2
$572K Buy
3,737
+251
+7% +$38.4K 0.26% 66
2017
Q1
$452K Sell
3,486
-314
-8% -$40.7K 0.21% 77
2016
Q4
$462K Sell
3,800
-207
-5% -$25.2K 0.23% 69
2016
Q3
$462K Buy
4,007
+84
+2% +$9.69K 0.23% 70
2016
Q2
$472K Buy
3,923
+230
+6% +$27.7K 0.24% 65
2016
Q1
$464K Sell
3,693
-49
-1% -$6.16K 0.26% 62
2015
Q4
$442K Buy
3,742
+809
+28% +$95.6K 0.24% 65
2015
Q3
$289K Buy
2,933
+5
+0.2% +$493 0.17% 89
2015
Q2
$278K Sell
2,928
-630
-18% -$59.8K 0.17% 94
2015
Q1
$347K Sell
3,558
-196
-5% -$19.1K 0.22% 75
2014
Q4
$352K Sell
3,754
-1,203
-24% -$113K 0.23% 74
2014
Q3
$470K Buy
4,957
+1,045
+27% +$99.1K 0.31% 59
2014
Q2
$394K Sell
3,912
-83
-2% -$8.36K 0.29% 66
2014
Q1
$392K Buy
3,995
+185
+5% +$18.2K 0.29% 64
2013
Q4
$370K Buy
3,810
+30
+0.8% +$2.91K 0.28% 68
2013
Q3
$364K Buy
3,780
+1,214
+47% +$117K 0.29% 65
2013
Q2
$254K Buy
+2,566
New +$254K 0.22% 84