Parkside Financial Bank & Trust’s Omnicom Group OMC Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$209K Buy
2,904
+279
+11% +$20.1K 0.02% 417
2025
Q1
$218K Buy
2,625
+1,580
+151% +$131K 0.03% 369
2024
Q4
$89.9K Sell
1,045
-78
-7% -$6.71K 0.01% 610
2024
Q3
$116K Sell
1,123
-20
-2% -$2.07K 0.02% 501
2024
Q2
$103K Buy
1,143
+14
+1% +$1.26K 0.02% 513
2024
Q1
$109K Sell
1,129
-157
-12% -$15.2K 0.02% 500
2023
Q4
$111K Buy
1,286
+56
+5% +$4.85K 0.02% 448
2023
Q3
$91.6K Buy
1,230
+1
+0.1% +$74 0.02% 437
2023
Q2
$117K Buy
1,229
+128
+12% +$12.2K 0.03% 378
2023
Q1
$104K Buy
1,101
+14
+1% +$1.32K 0.03% 378
2022
Q4
$88.7K Buy
1,087
+179
+20% +$14.6K 0.03% 412
2022
Q3
$58K Buy
908
+214
+31% +$13.7K 0.02% 479
2022
Q2
$44K Sell
694
-1
-0.1% -$63 0.01% 570
2022
Q1
$59K Buy
695
+41
+6% +$3.48K 0.02% 491
2021
Q4
$48K Buy
654
+90
+16% +$6.61K 0.01% 541
2021
Q3
$41K Buy
564
+24
+4% +$1.75K 0.01% 553
2021
Q2
$43K Buy
540
+8
+2% +$637 0.01% 540
2021
Q1
$39K Buy
532
+52
+11% +$3.81K 0.01% 555
2020
Q4
$30K Buy
480
+61
+15% +$3.81K 0.01% 604
2020
Q3
$20K Sell
419
-20
-5% -$955 0.01% 646
2020
Q2
$24K Sell
439
-8
-2% -$437 0.01% 589
2020
Q1
$25K Sell
447
-90
-17% -$5.03K 0.01% 515
2019
Q4
$44K Buy
537
+4
+0.8% +$328 0.01% 464
2019
Q3
$42K Buy
533
+10
+2% +$788 0.01% 442
2019
Q2
$43K Buy
523
+7
+1% +$576 0.01% 431
2019
Q1
$37K Buy
516
+21
+4% +$1.51K 0.01% 442
2018
Q4
$36K Buy
495
+17
+4% +$1.24K 0.01% 421
2018
Q3
$32K Sell
478
-243
-34% -$16.3K 0.01% 462
2018
Q2
$55K Buy
721
+110
+18% +$8.39K 0.02% 337
2018
Q1
$45K Hold
611
0.02% 371
2017
Q4
$45K Buy
611
+25
+4% +$1.84K 0.02% 387
2017
Q3
$43K Sell
586
-62
-10% -$4.55K 0.02% 379
2017
Q2
$53K Buy
648
+57
+10% +$4.66K 0.02% 317
2017
Q1
$51K Sell
591
-287
-33% -$24.8K 0.02% 331
2016
Q4
$74K Hold
878
0.03% 269
2016
Q3
$74K Hold
878
0.03% 285
2016
Q2
$72K Hold
878
0.04% 269
2016
Q1
$73K Buy
878
+34
+4% +$2.83K 0.04% 264
2015
Q4
$64K Buy
844
+7
+0.8% +$531 0.03% 283
2015
Q3
$55K Buy
+837
New +$55K 0.03% 295
2013
Q3
Sell
-3,782
Closed -$238K 147
2013
Q2
$238K Buy
+3,782
New +$238K 0.19% 112