Renaissance Technologies’s Royal Caribbean RCL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$167M Sell
533,601
-304,900
-36% -$95.5M 0.22% 84
2025
Q1
$172M Sell
838,501
-100,242
-11% -$20.6M 0.26% 63
2024
Q4
$217M Buy
938,743
+98,900
+12% +$22.8M 0.32% 43
2024
Q3
$149M Buy
839,843
+138,500
+20% +$24.6M 0.22% 86
2024
Q2
$112M Sell
701,343
-297,900
-30% -$47.5M 0.19% 106
2024
Q1
$139M Sell
999,243
-545,399
-35% -$75.8M 0.22% 86
2023
Q4
$200M Sell
1,544,642
-452,200
-23% -$58.6M 0.31% 53
2023
Q3
$184M Buy
1,996,842
+1,054,242
+112% +$97.1M 0.31% 52
2023
Q2
$97.8M Buy
942,600
+281,700
+43% +$29.2M 0.14% 160
2023
Q1
$43.2M Sell
660,900
-619,300
-48% -$40.4M 0.06% 393
2022
Q4
$63.3M Buy
1,280,200
+1,230,400
+2,471% +$60.8M 0.09% 267
2022
Q3
$1.89M Buy
49,800
+26,200
+111% +$993K ﹤0.01% 2051
2022
Q2
$824K Sell
23,600
-116,700
-83% -$4.07M ﹤0.01% 2839
2022
Q1
$11.8M Buy
+140,300
New +$11.8M 0.01% 1023
2020
Q1
Sell
-241,982
Closed -$32.3M 3727
2019
Q4
$32.3M Sell
241,982
-1,015,094
-81% -$136M 0.02% 739
2019
Q3
$136M Buy
1,257,076
+1,224,776
+3,792% +$133M 0.12% 187
2019
Q2
$3.92M Buy
+32,300
New +$3.92M ﹤0.01% 1952
2018
Q3
Sell
-58,188
Closed -$6.03M 3523
2018
Q2
$6.03M Sell
58,188
-227,712
-80% -$23.6M 0.01% 1661
2018
Q1
$33.7M Sell
285,900
-615,000
-68% -$72.4M 0.04% 623
2017
Q4
$107M Buy
900,900
+83,500
+10% +$9.96M 0.12% 177
2017
Q3
$96.9M Buy
817,400
+22,000
+3% +$2.61M 0.11% 193
2017
Q2
$86.9M Buy
795,400
+368,200
+86% +$40.2M 0.11% 217
2017
Q1
$41.9M Sell
427,200
-87,600
-17% -$8.59M 0.06% 413
2016
Q4
$42.2M Buy
+514,800
New +$42.2M 0.07% 399
2016
Q2
Sell
-174,300
Closed -$14.3M 3479
2016
Q1
$14.3M Sell
174,300
-211,114
-55% -$17.3M 0.03% 888
2015
Q4
$39M Buy
385,414
+381,799
+10,562% +$38.7M 0.09% 279
2015
Q3
$319K Buy
+3,615
New +$319K ﹤0.01% 2752
2014
Q1
Sell
-714,700
Closed -$33.9M 2976
2013
Q4
$33.9M Buy
714,700
+637,300
+823% +$30.2M 0.08% 286
2013
Q3
$2.96M Sell
77,400
-124,300
-62% -$4.76M 0.01% 1456
2013
Q2
$6.73M Buy
+201,700
New +$6.73M 0.02% 935