Parametric Portfolio Associates’s Tyler Technologies TYL Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q1
$53M Buy
119,111
+12,924
+12% +$5.75M 0.03% 543
2021
Q4
$57.1M Buy
106,187
+5,105
+5% +$2.75M 0.03% 523
2021
Q3
$46.4M Buy
101,082
+4,589
+5% +$2.1M 0.03% 575
2021
Q2
$43.7M Sell
96,493
-794
-0.8% -$359K 0.02% 613
2021
Q1
$41.3M Buy
97,287
+6,393
+7% +$2.71M 0.02% 689
2020
Q4
$39.7M Buy
90,894
+9,459
+12% +$4.13M 0.02% 638
2020
Q3
$28.4M Sell
81,435
-10,826
-12% -$3.77M 0.02% 712
2020
Q2
$32M Sell
92,261
-208
-0.2% -$72.2K 0.02% 616
2020
Q1
$27.4M Sell
92,469
-7,228
-7% -$2.14M 0.03% 622
2019
Q4
$29.9M Sell
99,697
-3,618
-4% -$1.09M 0.02% 737
2019
Q3
$27.1M Buy
103,315
+4,616
+5% +$1.21M 0.02% 736
2019
Q2
$21.3M Sell
98,699
-521
-0.5% -$113K 0.02% 888
2019
Q1
$20.3M Buy
99,220
+17,775
+22% +$3.63M 0.02% 896
2018
Q4
$15.1M Sell
81,445
-3,818
-4% -$709K 0.02% 1003
2018
Q3
$20.9M Sell
85,263
-1,149
-1% -$282K 0.02% 874
2018
Q2
$19.2M Buy
86,412
+8,846
+11% +$1.96M 0.02% 875
2018
Q1
$16.4M Buy
77,566
+3,017
+4% +$636K 0.02% 951
2017
Q4
$13.2M Sell
74,549
-1,964
-3% -$348K 0.01% 1082
2017
Q3
$13.3M Buy
76,513
+4,600
+6% +$802K 0.01% 1010
2017
Q2
$12.6M Buy
71,913
+4,721
+7% +$829K 0.02% 996
2017
Q1
$10.4M Buy
67,192
+13,860
+26% +$2.14M 0.02% 1110
2016
Q4
$7.61M Sell
53,332
-987
-2% -$141K 0.01% 1268
2016
Q3
$9.3M Sell
54,319
-501
-0.9% -$85.8K 0.01% 1022
2016
Q2
$9.14M Sell
54,820
-3,651
-6% -$609K 0.01% 994
2016
Q1
$7.52M Buy
58,471
+8,106
+16% +$1.04M 0.01% 1157
2015
Q4
$8.78M Sell
50,365
-3,234
-6% -$564K 0.02% 940
2015
Q3
$8M Buy
53,599
+3,573
+7% +$533K 0.02% 839
2015
Q2
$6.47M Buy
50,026
+3,619
+8% +$468K 0.01% 1102
2015
Q1
$5.59M Sell
46,407
-134
-0.3% -$16.2K 0.01% 1198
2014
Q4
$5.09M Sell
46,541
-123
-0.3% -$13.5K 0.01% 1243
2014
Q3
$4.13M Buy
46,664
+8,988
+24% +$795K 0.01% 1366
2014
Q2
$3.44M Sell
37,676
-17,558
-32% -$1.6M 0.01% 1535
2014
Q1
$4.62M Sell
55,234
-6,280
-10% -$526K 0.01% 1204
2013
Q4
$6.28M Sell
61,514
-9,021
-13% -$921K 0.02% 960
2013
Q3
$6.17M Sell
70,535
-2,382
-3% -$208K 0.02% 906
2013
Q2
$5M Buy
+72,917
New +$5M 0.01% 978