Maryland Capital Management’s Axon Enterprise AXON Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q3
$544K Hold
4,697
0.05% 142
2022
Q2
$438K Sell
4,697
-303
-6% -$28.3K 0.03% 155
2022
Q1
$689K Sell
5,000
-872
-15% -$120K 0.04% 137
2021
Q4
$922K Buy
5,872
+444
+8% +$69.7K 0.05% 115
2021
Q3
$950K Buy
5,428
+412
+8% +$72.1K 0.06% 114
2021
Q2
$887K Buy
5,016
+258
+5% +$45.6K 0.05% 118
2021
Q1
$678K Buy
4,758
+1,488
+46% +$212K 0.05% 134
2020
Q4
$401K Buy
+3,270
New +$401K 0.03% 164
2020
Q2
Sell
-3,035
Closed -$215K 195
2020
Q1
$215K Buy
3,035
+55
+2% +$3.9K 0.03% 189
2019
Q4
$218K Buy
+2,980
New +$218K 0.02% 171
2019
Q3
Sell
-3,245
Closed -$208K 200
2019
Q2
$208K Buy
+3,245
New +$208K 0.02% 174