Point72 Asset Management
PYPL icon

Point72 Asset Management’s PayPal PYPL Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
Hold
0
1736
2025
Q1
Hold
0
1710
2024
Q4
Sell
-1,056,156
Closed -$82.4M 1672
2024
Q3
$82.4M Sell
1,056,156
-1,018,678
-49% -$79.5M 0.21% 105
2024
Q2
$120M Sell
2,074,834
-2,641,446
-56% -$153M 0.32% 71
2024
Q1
$316M Buy
4,716,280
+4,206,495
+825% +$282M 0.77% 7
2023
Q4
$31.3M Buy
509,785
+401,946
+373% +$24.7M 0.08% 287
2023
Q3
$6.3M Buy
107,839
+104,008
+2,715% +$6.08M 0.02% 665
2023
Q2
$256K Sell
3,831
-292,769
-99% -$19.5M ﹤0.01% 954
2023
Q1
$22.5M Sell
296,600
-2,336,032
-89% -$177M 0.07% 298
2022
Q4
$187M Buy
2,632,632
+860,244
+49% +$61.3M 0.64% 19
2022
Q3
$153M Buy
1,772,388
+1,249,588
+239% +$108M 0.61% 19
2022
Q2
$36.5M Buy
+522,800
New +$36.5M 0.15% 178
2022
Q1
Hold
0
1240
2021
Q4
Sell
-199,472
Closed -$51.9M 1185
2021
Q3
$51.9M Sell
199,472
-17,056
-8% -$4.44M 0.23% 97
2021
Q2
$63.1M Sell
216,528
-298,617
-58% -$87M 0.28% 78
2021
Q1
$125M Buy
515,145
+400,177
+348% +$97.2M 0.58% 23
2020
Q4
$26.9M Sell
114,968
-963,941
-89% -$226M 0.13% 204
2020
Q3
$213M Buy
1,078,909
+357,390
+50% +$70.4M 1.09% 6
2020
Q2
$126M Sell
721,519
-173,704
-19% -$30.3M 0.82% 12
2020
Q1
$85.7M Sell
895,223
-2,195,422
-71% -$210M 0.7% 23
2019
Q4
$334M Buy
3,090,645
+2,666,505
+629% +$288M 1.76% 2
2019
Q3
$43.9M Buy
424,140
+421,340
+15,048% +$43.6M 0.27% 109
2019
Q2
$320K Buy
+2,800
New +$320K ﹤0.01% 819
2019
Q1
Sell
-175,000
Closed -$14.7M 1067
2018
Q4
$14.7M Sell
175,000
-213,200
-55% -$17.9M 0.07% 280
2018
Q3
$34.1M Sell
388,200
-882,675
-69% -$77.5M 0.14% 149
2018
Q2
$106M Sell
1,270,875
-789,073
-38% -$65.7M 0.42% 41
2018
Q1
$156M Buy
2,059,948
+659,770
+47% +$50.1M 0.65% 20
2017
Q4
$103M Buy
1,400,178
+882,578
+171% +$65M 0.45% 35
2017
Q3
$33.1M Buy
+517,600
New +$33.1M 0.15% 146
2017
Q1
Sell
-3,000
Closed -$118K 824
2016
Q4
$118K Buy
+3,000
New +$118K ﹤0.01% 614
2015
Q4
Sell
-52,040
Closed -$1.62M 750
2015
Q3
$1.62M Buy
+52,040
New +$1.62M 0.01% 536