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Riggs Asset Management’s Pfizer PFE Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$34.2K Sell
1,412
-61
-4% -$1.48K 0.01% 201
2025
Q1
$37.3K Buy
1,473
+83
+6% +$2.1K 0.01% 173
2024
Q4
$36.7K Sell
1,390
-259
-16% -$6.84K 0.01% 166
2024
Q3
$47.7K Hold
1,649
0.01% 153
2024
Q2
$46.1K Buy
1,649
+67
+4% +$1.88K 0.01% 144
2024
Q1
$43.9K Sell
1,582
-17
-1% -$472 0.01% 145
2023
Q4
$46K Buy
1,599
+17
+1% +$489 0.01% 141
2023
Q3
$52.5K Hold
1,582
0.02% 136
2023
Q2
$58K Hold
1,582
0.02% 136
2023
Q1
$64.5K Buy
1,582
+67
+4% +$2.73K 0.03% 123
2022
Q4
$77.6K Sell
1,515
-97,102
-98% -$4.98M 0.03% 114
2022
Q3
$4.32M Sell
98,617
-690
-0.7% -$30.2K 1.71% 26
2022
Q2
$5.21M Sell
99,307
-940
-0.9% -$49.3K 2.15% 15
2022
Q1
$5.19M Buy
100,247
+96,803
+2,811% +$5.01M 1.52% 27
2021
Q4
$203K Hold
3,444
0.06% 100
2021
Q3
$148K Sell
3,444
-68
-2% -$2.92K 0.04% 104
2021
Q2
$138K Sell
3,512
-10
-0.3% -$393 0.04% 108
2021
Q1
$128K Sell
3,522
-90
-2% -$3.27K 0.04% 113
2020
Q4
$133K Sell
3,612
-1,106
-23% -$40.7K 0.04% 94
2020
Q3
$202K Buy
4,718
+2,910
+161% +$125K 0.09% 59
2020
Q2
$59K Hold
1,808
0.02% 96
2020
Q1
$59K Hold
1,808
0.04% 91
2019
Q4
$71K Buy
1,808
+206
+13% +$8.09K 0.03% 110
2019
Q3
$57K Sell
1,602
-500
-24% -$17.8K 0.03% 114
2019
Q2
$91K Sell
2,102
-197
-9% -$8.53K 0.05% 87
2019
Q1
$97K Hold
2,299
0.07% 85
2018
Q4
$100K Hold
2,299
0.07% 73
2018
Q3
$101K Hold
2,299
0.05% 75
2018
Q2
$83K Hold
2,299
0.04% 86
2018
Q1
$82K Sell
2,299
-50
-2% -$1.78K 0.03% 89
2017
Q4
$85K Buy
2,349
+91
+4% +$3.29K 0.03% 94
2017
Q3
$81K Hold
2,258
0.04% 94
2017
Q2
$76K Sell
2,258
-197
-8% -$6.63K 0.03% 100
2017
Q1
$84K Sell
2,455
-723
-23% -$24.7K 0.04% 91
2016
Q4
$103K Sell
3,178
-639
-17% -$20.7K 0.05% 87
2016
Q3
$129K Sell
3,817
-400
-9% -$13.5K 0.07% 72
2016
Q2
$148K Sell
4,217
-72
-2% -$2.53K 0.08% 73
2016
Q1
$127K Hold
4,289
0.09% 61
2015
Q4
$138K Sell
4,289
-229
-5% -$7.37K 0.07% 61
2015
Q3
$142K Sell
4,518
-800
-15% -$25.1K 0.09% 53
2015
Q2
$178K Buy
5,318
+600
+13% +$20.1K 0.09% 54
2015
Q1
$164K Buy
4,718
+350
+8% +$12.2K 0.08% 59
2014
Q4
$136K Hold
4,368
0.07% 69
2014
Q3
$129K Buy
+4,368
New +$129K 0.07% 63
2014
Q1
Sell
-7,472
Closed -$229K 56
2013
Q4
$229K Buy
+7,472
New +$229K 0.12% 50