Lincoln National Corp’s Public Storage PSA Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2024
Q2
Sell
-2,886
Closed -$837K 854
2024
Q1
$837K Sell
2,886
-61
-2% -$17.7K 0.01% 573
2023
Q4
$899K Buy
2,947
+8
+0.3% +$2.44K 0.02% 491
2023
Q3
$775K Sell
2,939
-277
-9% -$73K 0.02% 474
2023
Q2
$939K Buy
3,216
+40
+1% +$11.7K 0.02% 435
2023
Q1
$960K Buy
3,176
+218
+7% +$65.9K 0.02% 399
2022
Q4
$829K Sell
2,958
-133
-4% -$37.3K 0.02% 395
2022
Q3
$905K Buy
3,091
+269
+10% +$78.8K 0.02% 345
2022
Q2
$882K Buy
2,822
+9
+0.3% +$2.81K 0.02% 361
2022
Q1
$1.1M Buy
2,813
+37
+1% +$14.4K 0.02% 338
2021
Q4
$1.04M Buy
2,776
+94
+4% +$35.2K 0.02% 339
2021
Q3
$797K Buy
2,682
+26
+1% +$7.73K 0.02% 377
2021
Q2
$799K Buy
2,656
+85
+3% +$25.6K 0.02% 368
2021
Q1
$634K Buy
2,571
+212
+9% +$52.3K 0.02% 401
2020
Q4
$545K Buy
2,359
+298
+14% +$68.8K 0.01% 403
2020
Q3
$459K Sell
2,061
-55
-3% -$12.2K 0.01% 397
2020
Q2
$406K Buy
2,116
+81
+4% +$15.5K 0.01% 416
2020
Q1
$404K Sell
2,035
-61
-3% -$12.1K 0.02% 378
2019
Q4
$446K Buy
2,096
+318
+18% +$67.7K 0.01% 418
2019
Q3
$436K Buy
1,778
+12
+0.7% +$2.94K 0.02% 375
2019
Q2
$421K Buy
1,766
+12
+0.7% +$2.86K 0.02% 354
2019
Q1
$382K Sell
1,754
-75
-4% -$16.3K 0.02% 343
2018
Q4
$370K Buy
1,829
+14
+0.8% +$2.83K 0.02% 309
2018
Q3
$366K Sell
1,815
-180
-9% -$36.3K 0.01% 319
2018
Q2
$452K Sell
1,995
-22
-1% -$4.98K 0.02% 284
2018
Q1
$404K Sell
2,017
-1,642
-45% -$329K 0.01% 296
2017
Q4
$765K Buy
3,659
+1,936
+112% +$405K 0.02% 277
2017
Q3
$369K Buy
1,723
+6
+0.3% +$1.29K 0.02% 263
2017
Q2
$358K Sell
1,717
-66
-4% -$13.8K 0.02% 237
2017
Q1
$390K Buy
1,783
+411
+30% +$89.9K 0.02% 223
2016
Q4
$307K Buy
1,372
+227
+20% +$50.8K 0.02% 224
2016
Q3
$255K Sell
1,145
-7
-0.6% -$1.56K 0.01% 241
2016
Q2
$295K Buy
1,152
+171
+17% +$43.8K 0.02% 214
2016
Q1
$271K Sell
981
-11
-1% -$3.04K 0.02% 206
2015
Q4
$245K Sell
992
-61
-6% -$15.1K 0.02% 165
2015
Q3
$228K Buy
1,053
+3
+0.3% +$650 0.02% 156
2015
Q2
$210K Buy
+1,050
New +$210K 0.02% 163