Point View Wealth Management’s Wynn Resorts WYNN Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2020
Q4
$471K Sell
4,174
-226
-5% -$25.5K 0.19% 160
2020
Q3
$316K Sell
4,400
-32
-0.7% -$2.3K 0.15% 185
2020
Q2
$330K Sell
4,432
-650
-13% -$48.4K 0.16% 178
2020
Q1
$306K Buy
5,082
+3,255
+178% +$196K 0.17% 176
2019
Q4
$254K Sell
1,827
-14
-0.8% -$1.95K 0.11% 223
2019
Q3
$200K Sell
1,841
-100
-5% -$10.9K 0.09% 243
2019
Q2
$241K Hold
1,941
0.1% 226
2019
Q1
$232K Buy
+1,941
New +$232K 0.1% 219
2018
Q4
Sell
-1,941
Closed -$247K 271
2018
Q3
$247K Sell
1,941
-53
-3% -$6.74K 0.11% 218
2018
Q2
$334K Sell
1,994
-37
-2% -$6.2K 0.16% 180
2018
Q1
$370K Sell
2,031
-69
-3% -$12.6K 0.18% 162
2017
Q4
$354K Sell
2,100
-166
-7% -$28K 0.17% 164
2017
Q3
$338K Sell
2,266
-115
-5% -$17.2K 0.16% 174
2017
Q2
$319K Sell
2,381
-63
-3% -$8.44K 0.16% 177
2017
Q1
$280K Sell
2,444
-52
-2% -$5.96K 0.14% 186
2016
Q4
$216K Sell
2,496
-67
-3% -$5.8K 0.12% 203
2016
Q3
$250K Sell
2,563
-30
-1% -$2.93K 0.15% 180
2016
Q2
$235K Sell
2,593
-59
-2% -$5.35K 0.14% 193
2016
Q1
$248K Buy
+2,652
New +$248K 0.16% 178