Profund Advisors’s PS Business Parks, Inc. PSB Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q3
Sell
-1,497
Closed -$280K 1048
2022
Q2
$280K Sell
1,497
-390
-21% -$72.9K 0.02% 682
2022
Q1
$317K Sell
1,887
-306
-14% -$51.4K 0.01% 893
2021
Q4
$404K Sell
2,193
-1,302
-37% -$240K 0.01% 756
2021
Q3
$548K Buy
3,495
+1,099
+46% +$172K 0.02% 590
2021
Q2
$355K Buy
2,396
+283
+13% +$41.9K 0.01% 922
2021
Q1
$327K Buy
2,113
+259
+14% +$40.1K 0.01% 906
2020
Q4
$246K Sell
1,854
-299
-14% -$39.7K 0.01% 955
2020
Q3
$264K Buy
2,153
+630
+41% +$77.3K 0.01% 744
2020
Q2
$202K Buy
+1,523
New +$202K 0.01% 828
2020
Q1
Sell
-2,505
Closed -$413K 1216
2019
Q4
$413K Sell
2,505
-444
-15% -$73.2K 0.02% 718
2019
Q3
$537K Buy
2,949
+955
+48% +$174K 0.03% 563
2019
Q2
$336K Buy
1,994
+396
+25% +$66.7K 0.02% 865
2019
Q1
$251K Sell
1,598
-409
-20% -$64.2K 0.01% 1031
2018
Q4
$263K Sell
2,007
-972
-33% -$127K 0.02% 855
2018
Q3
$379K Sell
2,979
-457
-13% -$58.1K 0.01% 1022
2018
Q2
$442K Buy
3,436
+316
+10% +$40.7K 0.02% 874
2018
Q1
$353K Buy
3,120
+696
+29% +$78.7K 0.01% 1033
2017
Q4
$303K Buy
2,424
+338
+16% +$42.3K 0.01% 1126
2017
Q3
$278K Sell
2,086
-521
-20% -$69.4K 0.01% 1139
2017
Q2
$345K Sell
2,607
-86
-3% -$11.4K 0.02% 1007
2017
Q1
$309K Sell
2,693
-716
-21% -$82.2K 0.01% 1151
2016
Q4
$397K Buy
3,409
+721
+27% +$84K 0.02% 1064
2016
Q3
$305K Sell
2,688
-843
-24% -$95.7K 0.01% 1079
2016
Q2
$375K Buy
3,531
+69
+2% +$7.33K 0.02% 974
2016
Q1
$348K Buy
3,462
+1,002
+41% +$101K 0.02% 988
2015
Q4
$215K Buy
+2,460
New +$215K 0.01% 1156
2015
Q3
Sell
-3,614
Closed -$261K 1401
2015
Q2
$261K Sell
3,614
-926
-20% -$66.9K 0.01% 1213
2015
Q1
$377K Buy
4,540
+1,836
+68% +$152K 0.01% 1094
2014
Q4
$215K Buy
+2,704
New +$215K 0.01% 1314
2014
Q3
Sell
-2,583
Closed -$216K 1476
2014
Q2
$216K Sell
2,583
-204
-7% -$17.1K 0.01% 1398
2014
Q1
$233K Sell
2,787
-4,638
-62% -$388K 0.01% 1365
2013
Q4
$567K Buy
7,425
+998
+16% +$76.2K 0.03% 949
2013
Q3
$480K Buy
6,427
+3,403
+113% +$254K 0.03% 952
2013
Q2
$218K Buy
+3,024
New +$218K 0.02% 1202