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Pinnacle Associates’s AMC Networks AMCX Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q2
Sell
-33,865
Closed -$1.38M 748
2022
Q1
$1.38M Hold
33,865
0.02% 396
2021
Q4
$1.17M Hold
33,865
0.02% 427
2021
Q3
$1.58M Sell
33,865
-264
-0.8% -$12.3K 0.03% 375
2021
Q2
$2.28M Buy
34,129
+28,791
+539% +$1.92M 0.04% 317
2021
Q1
$284K Sell
5,338
-700
-12% -$37.2K 0.01% 634
2020
Q4
$216K Sell
6,038
-3,460
-36% -$124K ﹤0.01% 658
2020
Q3
$235K Sell
9,498
-22
-0.2% -$544 0.01% 608
2020
Q2
$223K Hold
9,520
0.01% 609
2020
Q1
$231K Sell
9,520
-2,097
-18% -$50.9K 0.01% 583
2019
Q4
$459K Sell
11,617
-4,825
-29% -$191K 0.01% 546
2019
Q3
$808K Sell
16,442
-2,337
-12% -$115K 0.02% 445
2019
Q2
$1.02M Sell
18,779
-2,510
-12% -$137K 0.02% 402
2019
Q1
$1.21M Sell
21,289
-2,550
-11% -$145K 0.03% 375
2018
Q4
$1.31M Sell
23,839
-4,590
-16% -$252K 0.03% 352
2018
Q3
$1.89M Sell
28,429
-10,710
-27% -$711K 0.04% 319
2018
Q2
$2.43M Sell
39,139
-548,150
-93% -$34.1M 0.05% 279
2018
Q1
$30.4M Sell
587,289
-81,166
-12% -$4.2M 0.6% 45
2017
Q4
$36.2M Sell
668,455
-117,132
-15% -$6.33M 0.69% 40
2017
Q3
$45.9M Sell
785,587
-23,077
-3% -$1.35M 0.85% 28
2017
Q2
$43.2M Sell
808,664
-36,040
-4% -$1.92M 0.83% 28
2017
Q1
$49.6M Buy
844,704
+44,334
+6% +$2.6M 0.95% 23
2016
Q4
$41.9M Sell
800,370
-41,456
-5% -$2.17M 0.85% 28
2016
Q3
$43.7M Buy
841,826
+13,555
+2% +$703K 0.88% 24
2016
Q2
$50M Buy
828,271
+264,701
+47% +$16M 1.08% 18
2016
Q1
$36.6M Buy
563,570
+415
+0.1% +$27K 0.78% 29
2015
Q4
$42.1M Sell
563,155
-31,027
-5% -$2.32M 0.88% 26
2015
Q3
$43.5M Buy
594,182
+113,326
+24% +$8.29M 0.96% 24
2015
Q2
$39.4M Sell
480,856
-10,631
-2% -$870K 0.73% 33
2015
Q1
$37.7M Sell
491,487
-2,409
-0.5% -$185K 0.7% 31
2014
Q4
$31.5M Buy
493,896
+22,172
+5% +$1.41M 0.62% 37
2014
Q3
$27.6M Buy
471,724
+146,475
+45% +$8.56M 0.56% 47
2014
Q2
$20M Sell
325,249
-20,151
-6% -$1.24M 0.39% 72
2014
Q1
$25.2M Sell
345,400
-12,732
-4% -$930K 0.49% 54
2013
Q4
$24.4M Sell
358,132
-10,464
-3% -$713K 0.48% 59
2013
Q3
$25.2M Sell
368,596
-5,891
-2% -$404K 0.52% 56
2013
Q2
$24.5M Buy
+374,487
New +$24.5M 0.55% 50