Mirae Asset Global Investments’s PACCAR PCAR Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$18.2M Buy
191,893
+9,941
+5% +$945K 0.06% 240
2025
Q1
$17.6M Buy
181,952
+27,644
+18% +$2.68M 0.07% 207
2024
Q4
$16.1M Sell
154,308
-11,202
-7% -$1.17M 0.07% 216
2024
Q3
$16.2M Buy
165,510
+284
+0.2% +$27.9K 0.07% 192
2024
Q2
$17.2M Sell
165,226
-380,771
-70% -$39.6M 0.09% 164
2024
Q1
$49.2M Sell
545,997
-203,967
-27% -$18.4M 0.11% 189
2023
Q4
$73.2M Buy
749,964
+10,061
+1% +$982K 0.15% 143
2023
Q3
$62.9M Buy
739,903
+88,087
+14% +$7.49M 0.14% 154
2023
Q2
$54.5M Buy
651,816
+162,517
+33% +$13.6M 0.12% 174
2023
Q1
$35.8M Sell
489,299
-3,513
-0.7% -$257K 0.08% 247
2022
Q4
$32.5M Sell
492,812
-607
-0.1% -$40.1K 0.08% 258
2022
Q3
$27.5M Buy
493,419
+249
+0.1% +$13.9K 0.07% 282
2022
Q2
$27.1M Buy
493,170
+91,945
+23% +$5.05M 0.07% 311
2022
Q1
$23.6M Buy
401,225
+86,328
+27% +$5.07M 0.05% 400
2021
Q4
$18.5M Buy
314,897
+66,623
+27% +$3.92M 0.04% 475
2021
Q3
$13.1M Buy
248,274
+34,921
+16% +$1.84M 0.03% 543
2021
Q2
$12.7M Buy
213,353
+45,258
+27% +$2.69M 0.04% 551
2021
Q1
$10.4M Sell
168,095
-25,131
-13% -$1.56M 0.04% 515
2020
Q4
$11.1M Buy
193,226
+45,195
+31% +$2.6M 0.04% 467
2020
Q3
$8.42M Buy
148,031
+15,839
+12% +$900K 0.04% 439
2020
Q2
$6.6M Buy
132,192
+5,761
+5% +$287K 0.04% 429
2020
Q1
$5.15M Sell
126,431
-54,297
-30% -$2.21M 0.04% 430
2019
Q4
$9.53M Buy
180,728
+45,753
+34% +$2.41M 0.06% 364
2019
Q3
$6.3M Buy
134,975
+16,023
+13% +$748K 0.04% 420
2019
Q2
$5.67M Buy
118,952
+13,599
+13% +$648K 0.04% 430
2019
Q1
$4.79M Buy
105,353
+15,407
+17% +$700K 0.04% 427
2018
Q4
$3.43M Buy
89,946
+35,128
+64% +$1.34M 0.03% 464
2018
Q3
$2.5M Buy
54,818
+16,587
+43% +$757K 0.02% 596
2018
Q2
$1.58M Sell
38,231
-51,690
-57% -$2.14M 0.02% 429
2018
Q1
$3.97M Buy
89,921
+15,650
+21% +$691K 0.05% 224
2017
Q4
$3.52M Buy
74,271
+47,551
+178% +$2.25M 0.05% 250
2017
Q3
$1.29M Buy
26,720
+6,423
+32% +$310K 0.02% 391
2017
Q2
$889K Buy
20,297
+5,337
+36% +$234K 0.02% 411
2017
Q1
$670K Buy
+14,960
New +$670K 0.01% 424