MHI
VZ icon

Miller Howard Investments’s Verizon VZ Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$60.1M Buy
1,389,297
+8,785
+0.6% +$380K 1.91% 18
2025
Q1
$62.6M Buy
+1,380,512
New +$62.6M 1.99% 15
2021
Q2
Sell
-28,255
Closed -$1.64M 152
2021
Q1
$1.64M Sell
28,255
-899,562
-97% -$52.3M 0.07% 118
2020
Q4
$54.5M Sell
927,817
-67,389
-7% -$3.96M 2.57% 10
2020
Q3
$59.2M Sell
995,206
-108,014
-10% -$6.43M 3.12% 2
2020
Q2
$60.8M Sell
1,103,220
-202,742
-16% -$11.2M 3.04% 2
2020
Q1
$70.2M Sell
1,305,962
-38,314
-3% -$2.06M 3.59% 1
2019
Q4
$82.5M Sell
1,344,276
-48,504
-3% -$2.98M 2.59% 8
2019
Q3
$84.1M Sell
1,392,780
-84,965
-6% -$5.13M 2.62% 4
2019
Q2
$84.4M Sell
1,477,745
-248,065
-14% -$14.2M 2.48% 7
2019
Q1
$102M Buy
1,725,810
+55,166
+3% +$3.26M 2.81% 4
2018
Q4
$93.9M Sell
1,670,644
-190,797
-10% -$10.7M 2.75% 6
2018
Q3
$99.4M Sell
1,861,441
-91,284
-5% -$4.87M 2.4% 7
2018
Q2
$98.2M Sell
1,952,725
-67,918
-3% -$3.42M 2.36% 6
2018
Q1
$96.6M Sell
2,020,643
-42,346
-2% -$2.02M 2.28% 6
2017
Q4
$109M Buy
2,062,989
+1,342,602
+186% +$71.1M 2.37% 5
2017
Q3
$35.7M Sell
720,387
-52,716
-7% -$2.61M 0.74% 50
2017
Q2
$34.5M Sell
773,103
-31,502
-4% -$1.41M 0.69% 55
2017
Q1
$39.2M Sell
804,605
-6,597
-0.8% -$322K 0.76% 54
2016
Q4
$43.3M Sell
811,202
-33,014
-4% -$1.76M 0.83% 49
2016
Q3
$43.9M Sell
844,216
-84,799
-9% -$4.41M 0.81% 47
2016
Q2
$51.9M Sell
929,015
-33,958
-4% -$1.9M 0.93% 42
2016
Q1
$52.1M Sell
962,973
-7,428
-0.8% -$402K 0.96% 39
2015
Q4
$44.9M Sell
970,401
-133,758
-12% -$6.18M 0.8% 44
2015
Q3
$48M Sell
1,104,159
-51,738
-4% -$2.25M 0.8% 45
2015
Q2
$53.9M Buy
1,155,897
+170,512
+17% +$7.95M 0.73% 46
2015
Q1
$47.9M Buy
985,385
+37,852
+4% +$1.84M 0.72% 47
2014
Q4
$44.3M Buy
947,533
+96,878
+11% +$4.53M 0.68% 48
2014
Q3
$42.5M Buy
850,655
+13,406
+2% +$670K 0.66% 48
2014
Q2
$41M Sell
837,249
-8,372
-1% -$410K 0.65% 53
2014
Q1
$40.2M Buy
845,621
+767,565
+983% +$36.5M 0.74% 48
2013
Q4
$3.84M Sell
78,056
-324
-0.4% -$15.9K 0.08% 88
2013
Q3
$3.66M Sell
78,380
-23,976
-23% -$1.12M 0.08% 77
2013
Q2
$5.15M Buy
+102,356
New +$5.15M 0.12% 69