Point View Wealth Management’s Las Vegas Sands LVS Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2020
Q4
$621K Buy
10,416
+132
+1% +$7.87K 0.25% 131
2020
Q3
$480K Sell
10,284
-388
-4% -$18.1K 0.23% 139
2020
Q2
$486K Sell
10,672
-789
-7% -$35.9K 0.23% 140
2020
Q1
$487K Buy
11,461
+1,117
+11% +$47.5K 0.27% 122
2019
Q4
$714K Buy
10,344
+1,883
+22% +$130K 0.3% 114
2019
Q3
$489K Sell
8,461
-1,455
-15% -$84.1K 0.22% 142
2019
Q2
$586K Sell
9,916
-210
-2% -$12.4K 0.25% 131
2019
Q1
$617K Buy
10,126
+131
+1% +$7.98K 0.27% 123
2018
Q4
$520K Buy
9,995
+626
+7% +$32.6K 0.26% 128
2018
Q3
$556K Hold
9,369
0.25% 133
2018
Q2
$715K Hold
9,369
0.33% 109
2018
Q1
$674K Sell
9,369
-41
-0.4% -$2.95K 0.32% 114
2017
Q4
$654K Sell
9,410
-576
-6% -$40K 0.31% 116
2017
Q3
$641K Sell
9,986
-318
-3% -$20.4K 0.31% 119
2017
Q2
$658K Sell
10,304
-31
-0.3% -$1.98K 0.32% 114
2017
Q1
$590K Buy
10,335
+179
+2% +$10.2K 0.3% 115
2016
Q4
$542K Hold
10,156
0.31% 115
2016
Q3
$584K Buy
10,156
+893
+10% +$51.4K 0.35% 110
2016
Q2
$403K Buy
9,263
+1,715
+23% +$74.6K 0.24% 135
2016
Q1
$390K Buy
+7,548
New +$390K 0.25% 131