LSV Asset Management
AMCX icon

LSV Asset Management’s AMC Networks AMCX Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$3.9M Sell
621,589
-44,100
-7% -$276K 0.01% 496
2025
Q1
$4.58M Sell
665,689
-54,800
-8% -$377K 0.01% 483
2024
Q4
$7.13M Sell
720,489
-6,100
-0.8% -$60.4K 0.02% 444
2024
Q3
$6.31M Sell
726,589
-315,969
-30% -$2.75M 0.01% 472
2024
Q2
$10.1M Sell
1,042,558
-34,200
-3% -$330K 0.02% 439
2024
Q1
$13.1M Sell
1,076,758
-183,854
-15% -$2.23M 0.03% 398
2023
Q4
$23.7M Sell
1,260,612
-53,493
-4% -$1.01M 0.05% 311
2023
Q3
$15.5M Sell
1,314,105
-108,566
-8% -$1.28M 0.04% 358
2023
Q2
$17M Sell
1,422,671
-22,367
-2% -$267K 0.04% 344
2023
Q1
$25.4M Sell
1,445,038
-84,100
-5% -$1.48M 0.06% 279
2022
Q4
$24M Sell
1,529,138
-124,979
-8% -$1.96M 0.05% 280
2022
Q3
$33.6M Sell
1,654,117
-63,690
-4% -$1.29M 0.08% 241
2022
Q2
$50M Sell
1,717,807
-82,192
-5% -$2.39M 0.11% 210
2022
Q1
$73.1M Sell
1,799,999
-70,689
-4% -$2.87M 0.13% 191
2021
Q4
$64.4M Sell
1,870,688
-189,800
-9% -$6.54M 0.11% 207
2021
Q3
$96M Sell
2,060,488
-78,030
-4% -$3.64M 0.17% 163
2021
Q2
$143M Sell
2,138,518
-50,800
-2% -$3.39M 0.24% 131
2021
Q1
$116M Sell
2,189,318
-161,041
-7% -$8.56M 0.2% 154
2020
Q4
$84.1M Sell
2,350,359
-171,200
-7% -$6.12M 0.15% 175
2020
Q3
$62.3M Sell
2,521,559
-35,447
-1% -$876K 0.13% 195
2020
Q2
$59.8M Sell
2,557,006
-29,600
-1% -$692K 0.12% 194
2020
Q1
$62.9M Sell
2,586,606
-175,400
-6% -$4.26M 0.15% 168
2019
Q4
$109M Sell
2,762,006
-28,259
-1% -$1.12M 0.17% 160
2019
Q3
$137M Buy
2,790,265
+19,000
+0.7% +$934K 0.23% 130
2019
Q2
$151M Buy
2,771,265
+57,000
+2% +$3.11M 0.24% 122
2019
Q1
$154M Sell
2,714,265
-2,600
-0.1% -$148K 0.25% 116
2018
Q4
$149M Buy
2,716,865
+46,280
+2% +$2.54M 0.26% 105
2018
Q3
$177M Buy
2,670,585
+631,430
+31% +$41.9M 0.27% 106
2018
Q2
$127M Buy
2,039,155
+139,775
+7% +$8.69M 0.2% 143
2018
Q1
$98.2M Buy
1,899,380
+297,197
+19% +$15.4M 0.16% 164
2017
Q4
$86.6M Buy
1,602,183
+319,011
+25% +$17.3M 0.14% 180
2017
Q3
$75M Buy
1,283,172
+562,041
+78% +$32.9M 0.12% 195
2017
Q2
$38.5M Buy
721,131
+533,360
+284% +$28.5M 0.07% 263
2017
Q1
$11M Buy
+187,771
New +$11M 0.02% 448