Peapack-Gladstone Financial Corp’s Marriott International Class A Common Stock MAR Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$1.9M Sell
6,953
-956
-12% -$261K 0.03% 334
2025
Q1
$1.88M Buy
7,909
+200
+3% +$47.6K 0.03% 335
2024
Q4
$2.15M Sell
7,709
-94
-1% -$26.2K 0.03% 315
2024
Q3
$1.94M Sell
7,803
-206
-3% -$51.2K 0.03% 335
2024
Q2
$1.94M Buy
8,009
+661
+9% +$160K 0.03% 328
2024
Q1
$1.85M Sell
7,348
-250
-3% -$63.1K 0.03% 335
2023
Q4
$1.71M Sell
7,598
-112
-1% -$25.2K 0.03% 332
2023
Q3
$1.52M Sell
7,710
-145
-2% -$28.5K 0.03% 340
2023
Q2
$1.44M Buy
7,855
+382
+5% +$70.1K 0.03% 340
2023
Q1
$1.24M Buy
7,473
+3,276
+78% +$543K 0.02% 356
2022
Q4
$625K Sell
4,197
-2,201
-34% -$328K 0.01% 436
2022
Q3
$898K Buy
6,398
+159
+3% +$22.3K 0.02% 379
2022
Q2
$849K Sell
6,239
-231
-4% -$31.4K 0.02% 372
2022
Q1
$1.14M Sell
6,470
-69
-1% -$12.1K 0.02% 358
2021
Q4
$1.08M Sell
6,539
-43
-0.7% -$7.1K 0.02% 375
2021
Q3
$974K Buy
6,582
+4,256
+183% +$630K 0.02% 372
2021
Q2
$318K Sell
2,326
-3,314
-59% -$453K 0.01% 502
2021
Q1
$836K Buy
5,640
+3,414
+153% +$506K 0.02% 348
2020
Q4
$294K Sell
2,226
-150
-6% -$19.8K 0.01% 353
2020
Q3
$220K Sell
2,376
-503
-17% -$46.6K 0.01% 350
2020
Q2
$247K Sell
2,879
-181
-6% -$15.5K 0.01% 336
2020
Q1
$229K Sell
3,060
-178
-5% -$13.3K 0.01% 328
2019
Q4
$491K Hold
3,238
0.02% 257
2019
Q3
$403K Sell
3,238
-125
-4% -$15.6K 0.02% 276
2019
Q2
$471K Hold
3,363
0.02% 260
2019
Q1
$421K Sell
3,363
-370
-10% -$46.3K 0.02% 258
2018
Q4
$405K Sell
3,733
-577
-13% -$62.6K 0.02% 250
2018
Q3
$569K Sell
4,310
-812
-16% -$107K 0.03% 227
2018
Q2
$648K Sell
5,122
-1,233
-19% -$156K 0.03% 209
2018
Q1
$864K Buy
6,355
+136
+2% +$18.5K 0.05% 186
2017
Q4
$844K Buy
6,219
+500
+9% +$67.9K 0.05% 189
2017
Q3
$631K Hold
5,719
0.04% 205
2017
Q2
$574K Hold
5,719
0.03% 211
2017
Q1
$539K Hold
5,719
0.03% 212
2016
Q4
$473K Buy
5,719
+1
+0% +$83 0.03% 210
2016
Q3
$385K Buy
5,718
+1,040
+22% +$70K 0.03% 233
2016
Q2
$311K Sell
4,678
-2,054
-31% -$137K 0.02% 262
2016
Q1
$479K Sell
6,732
-1,000
-13% -$71.2K 0.03% 209
2015
Q4
$518K Sell
7,732
-2,239
-22% -$150K 0.04% 212
2015
Q3
$680K Hold
9,971
0.05% 183
2015
Q2
$742K Buy
9,971
+1,000
+11% +$74.4K 0.05% 183
2015
Q1
$721K Hold
8,971
0.05% 186
2014
Q4
$700K Buy
8,971
+763
+9% +$59.5K 0.05% 184
2014
Q3
$574K Hold
8,208
0.04% 189
2014
Q2
$526K Buy
8,208
+1,106
+16% +$70.9K 0.04% 198
2014
Q1
$398K Hold
7,102
0.03% 214
2013
Q4
$350K Sell
7,102
-1
-0% -$49 0.03% 222
2013
Q3
$299K Sell
7,103
-3,000
-30% -$126K 0.03% 237
2013
Q2
$408K Buy
+10,103
New +$408K 0.04% 213