PCM
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Prelude Capital Management’s Green Plains GPRE Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$72.5K Sell
12,023
-8,553
-42% -$51.6K 0.01% 933
2025
Q1
$99.8K Sell
20,576
-8,759
-30% -$42.5K 0.01% 951
2024
Q4
$278K Buy
+29,335
New +$278K 0.02% 718
2024
Q2
Sell
-9,776
Closed -$226K 1234
2024
Q1
$226K Buy
+9,776
New +$226K 0.01% 941
2023
Q4
Sell
-18,992
Closed -$572K 1075
2023
Q3
$572K Sell
18,992
-6,303
-25% -$190K 0.04% 347
2023
Q2
$816K Buy
+25,295
New +$816K 0.05% 295
2022
Q4
Sell
-39,141
Closed -$1.14M 1289
2022
Q3
$1.14M Buy
39,141
+31,197
+393% +$907K 0.04% 380
2022
Q2
$216K Buy
+7,944
New +$216K 0.01% 1066
2022
Q1
Sell
-40,562
Closed -$1.41M 1666
2021
Q4
$1.41M Buy
40,562
+8,795
+28% +$306K 0.04% 335
2021
Q3
$1.04M Sell
31,767
-16,760
-35% -$547K 0.03% 399
2021
Q2
$1.63M Sell
48,527
-108,606
-69% -$3.65M 0.05% 281
2021
Q1
$4.25M Buy
157,133
+116,377
+286% +$3.15M 0.11% 60
2020
Q4
$537K Buy
+40,756
New +$537K 0.01% 355
2020
Q3
Hold
0
1561
2020
Q2
Hold
0
1473
2020
Q1
Hold
0
1172
2019
Q4
Hold
0
1546
2019
Q3
Sell
-2,531
Closed -$27K 1339
2019
Q2
$27K Buy
+2,531
New +$27K ﹤0.01% 889
2017
Q3
Sell
-7,900
Closed -$162K 1601
2017
Q2
$162K Buy
7,900
+500
+7% +$10.3K 0.02% 578
2017
Q1
$183K Sell
7,400
-5,300
-42% -$131K 0.02% 550
2016
Q4
$354K Buy
12,700
+11,100
+694% +$309K 0.04% 359
2016
Q3
$42K Buy
+1,600
New +$42K ﹤0.01% 1034
2016
Q2
Sell
-2,200
Closed -$35K 1567
2016
Q1
$35K Sell
2,200
-2,000
-48% -$31.8K ﹤0.01% 958
2015
Q4
$96K Buy
4,200
+600
+17% +$13.7K 0.01% 772
2015
Q3
$70K Buy
3,600
+522
+17% +$10.2K 0.01% 880
2015
Q2
$85K Sell
3,078
-3,322
-52% -$91.7K 0.01% 869
2015
Q1
$183K Sell
6,400
-2,237
-26% -$64K 0.03% 666
2014
Q4
$214K Sell
8,637
-7,149
-45% -$177K 0.03% 570
2014
Q3
$590K Sell
15,786
-8,951
-36% -$335K 0.08% 279
2014
Q2
$813K Buy
24,737
+5,825
+31% +$191K 0.11% 193
2014
Q1
$567K Sell
18,912
-8,688
-31% -$260K 0.08% 301
2013
Q4
$535K Sell
27,600
-4,250
-13% -$82.4K 0.09% 293
2013
Q3
$511K Buy
31,850
+7,700
+32% +$124K 0.08% 248
2013
Q2
$322K Buy
+24,150
New +$322K 0.07% 306