Park National Corp’s H&R Block HRB Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$358K Sell
6,515
-86
-1% -$4.72K 0.01% 240
2025
Q1
$362K Buy
6,601
+133
+2% +$7.3K 0.01% 234
2024
Q4
$342K Buy
6,468
+693
+12% +$36.6K 0.01% 234
2024
Q3
$367K Sell
5,775
-282
-5% -$17.9K 0.01% 230
2024
Q2
$328K Sell
6,057
-300
-5% -$16.3K 0.01% 234
2024
Q1
$312K Hold
6,357
0.01% 233
2023
Q4
$307K Hold
6,357
0.01% 239
2023
Q3
$274K Hold
6,357
0.01% 244
2023
Q2
$203K Hold
6,357
0.01% 268
2023
Q1
$224K Sell
6,357
-75
-1% -$2.64K 0.01% 247
2022
Q4
$235K Buy
6,432
+75
+1% +$2.74K 0.01% 246
2022
Q3
$270K Hold
6,357
0.01% 228
2022
Q2
$225K Buy
+6,357
New +$225K 0.01% 247
2020
Q4
Sell
-10,213
Closed -$166K 312
2020
Q3
$166K Hold
10,213
0.01% 291
2020
Q2
$146K Hold
10,213
0.01% 291
2020
Q1
$144K Sell
10,213
-305
-3% -$4.3K 0.01% 281
2019
Q4
$247K Sell
10,518
-280
-3% -$6.58K 0.01% 278
2019
Q3
$255K Sell
10,798
-198
-2% -$4.68K 0.01% 272
2019
Q2
$322K Sell
10,996
-745
-6% -$21.8K 0.02% 250
2019
Q1
$281K Hold
11,741
0.02% 261
2018
Q4
$297K Buy
11,741
+1,920
+20% +$48.6K 0.02% 246
2018
Q3
$252K Hold
9,821
0.01% 288
2018
Q2
$224K Hold
9,821
0.01% 308
2018
Q1
$249K Hold
9,821
0.01% 292
2017
Q4
$257K Hold
9,821
0.01% 299
2017
Q3
$261K Hold
9,821
0.02% 279
2017
Q2
$304K Hold
9,821
0.02% 255
2017
Q1
$228K Sell
9,821
-1,550
-14% -$36K 0.01% 305
2016
Q4
$261K Sell
11,371
-930
-8% -$21.3K 0.02% 271
2016
Q3
$285K Sell
12,301
-891
-7% -$20.6K 0.02% 259
2016
Q2
$303K Buy
13,192
+1,442
+12% +$33.1K 0.02% 250
2016
Q1
$310K Buy
11,750
+1,769
+18% +$46.7K 0.02% 248
2015
Q4
$332K Buy
9,981
+2,306
+30% +$76.7K 0.02% 230
2015
Q3
$278K Hold
7,675
0.02% 247
2015
Q2
$228K Sell
7,675
-47
-0.6% -$1.4K 0.02% 284
2015
Q1
$248K Hold
7,722
0.02% 275
2014
Q4
$260K Buy
7,722
+47
+0.6% +$1.58K 0.02% 279
2014
Q3
$238K Hold
7,675
0.02% 281
2014
Q2
$257K Hold
7,675
0.02% 276
2014
Q1
$232K Hold
7,675
0.02% 283
2013
Q4
$223K Hold
7,675
0.02% 283
2013
Q3
$205K Hold
7,675
0.02% 296
2013
Q2
$213K Buy
+7,675
New +$213K 0.02% 271