Palisade Capital Management’s Synchronoss Technologies SNCR Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q4
Sell
-3,889
Closed -$40K 405
2022
Q3
$40K Hold
3,889
﹤0.01% 404
2022
Q2
$40K Hold
3,889
﹤0.01% 420
2022
Q1
$61K Hold
3,889
﹤0.01% 418
2021
Q4
$85K Sell
3,889
-278
-7% -$6.08K ﹤0.01% 421
2021
Q3
$90K Buy
4,167
+278
+7% +$6K ﹤0.01% 402
2021
Q2
$126K Sell
3,889
-278
-7% -$9.01K ﹤0.01% 398
2021
Q1
$134K Sell
4,167
-555
-12% -$17.8K ﹤0.01% 377
2020
Q4
$200K Sell
4,722
-278
-6% -$11.8K 0.01% 374
2020
Q3
$135K Sell
5,000
-556
-10% -$15K ﹤0.01% 384
2020
Q2
$176K Sell
5,556
-277
-5% -$8.78K 0.01% 380
2020
Q1
$160K Buy
5,833
+277
+5% +$7.6K 0.01% 405
2019
Q4
$237K Buy
5,556
+800
+17% +$34.1K 0.01% 390
2019
Q3
$231K Buy
4,756
+34
+0.7% +$1.65K 0.01% 403
2019
Q2
$336K Sell
4,722
-1,389
-23% -$98.8K 0.01% 379
2019
Q1
$334K Buy
6,111
+3,222
+112% +$176K 0.01% 387
2018
Q4
$160K Buy
+2,889
New +$160K 0.01% 438
2018
Q2
Sell
-2,778
Closed -$264K 469
2018
Q1
$264K Buy
2,778
+111
+4% +$10.5K 0.01% 414
2017
Q4
$215K Hold
2,667
0.01% 410
2017
Q3
$224K Buy
2,667
+223
+9% +$18.7K 0.01% 405
2017
Q2
$362K Buy
2,444
+666
+37% +$98.6K 0.01% 395
2017
Q1
$390K Buy
1,778
+834
+88% +$183K 0.01% 386
2016
Q4
$326K Buy
944
+111
+13% +$38.3K 0.01% 428
2016
Q3
$309K Sell
833
-389
-32% -$144K 0.01% 520
2016
Q2
$350K Buy
1,222
+111
+10% +$31.8K 0.01% 493
2016
Q1
$323K Sell
1,111
-10,888
-91% -$3.17M 0.01% 497
2015
Q4
$3.8M Sell
11,999
-667
-5% -$211K 0.12% 247
2015
Q3
$3.74M Sell
12,666
-9,156
-42% -$2.7M 0.11% 269
2015
Q2
$8.98M Buy
21,822
+1,364
+7% +$561K 0.23% 160
2015
Q1
$8.74M Sell
20,458
-324
-2% -$138K 0.22% 170
2014
Q4
$7.83M Sell
20,782
-4,279
-17% -$1.61M 0.19% 197
2014
Q3
$10.3M Buy
25,061
+2,462
+11% +$1.01M 0.26% 144
2014
Q2
$7.11M Sell
22,599
-62,389
-73% -$19.6M 0.17% 225
2014
Q1
$26.2M Buy
84,988
+7,856
+10% +$2.42M 0.64% 27
2013
Q4
$21.6M Sell
77,132
-877
-1% -$245K 0.56% 36
2013
Q3
$26.7M Sell
78,009
-1,393
-2% -$477K 0.73% 12
2013
Q2
$22.1M Buy
+79,402
New +$22.1M 0.63% 26