Spirit of America Management Corp’s RTX Corp RTX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$307K Hold
2,100
0.06% 226
2025
Q1
$278K Hold
2,100
0.06% 224
2024
Q4
$243K Hold
2,100
0.05% 223
2024
Q3
$254K Hold
2,100
0.05% 226
2024
Q2
$211K Hold
2,100
0.04% 228
2024
Q1
$205K Hold
2,100
0.04% 216
2023
Q4
$177K Hold
2,100
0.04% 215
2023
Q3
$151K Hold
2,100
0.03% 197
2023
Q2
$206K Hold
2,100
0.05% 190
2023
Q1
$206K Hold
2,100
0.05% 185
2022
Q4
$212K Hold
2,100
0.05% 181
2022
Q3
$172K Hold
2,100
0.04% 195
2022
Q2
$202K Hold
2,100
0.05% 192
2022
Q1
$208K Hold
2,100
0.04% 203
2021
Q4
$181K Hold
2,100
0.04% 209
2021
Q3
$181K Hold
2,100
0.04% 208
2021
Q2
$179K Hold
2,100
0.04% 201
2021
Q1
$162K Hold
2,100
0.04% 200
2020
Q4
$150K Sell
2,100
-1,500
-42% -$107K 0.04% 197
2020
Q3
$207K Sell
3,600
-500
-12% -$28.8K 0.06% 177
2020
Q2
$253K Buy
+4,100
New +$253K 0.06% 166
2020
Q1
Sell
-6,515
Closed -$614K 239
2019
Q4
$614K Buy
6,515
+953
+17% +$89.8K 0.11% 149
2019
Q3
$478K Hold
5,562
0.08% 169
2019
Q2
$456K Hold
5,562
0.07% 170
2019
Q1
$451K Hold
5,562
0.07% 170
2018
Q4
$373K Hold
5,562
0.06% 181
2018
Q3
$489K Hold
5,562
0.06% 179
2018
Q2
$438K Hold
5,562
0.05% 193
2018
Q1
$440K Hold
5,562
0.06% 194
2017
Q4
$447K Buy
5,562
+1,113
+25% +$89.4K 0.05% 199
2017
Q3
$325K Hold
4,449
0.03% 255
2017
Q2
$342K Hold
4,449
0.04% 249
2017
Q1
$314K Hold
4,449
0.03% 261
2016
Q4
$307K Buy
4,449
+1,589
+56% +$110K 0.04% 261
2016
Q3
$183K Hold
2,860
0.02% 289
2016
Q2
$185K Hold
2,860
0.03% 279
2016
Q1
$180K Hold
2,860
0.03% 281
2015
Q4
$173K Hold
2,860
0.03% 277
2015
Q3
$160K Sell
2,860
-2,384
-45% -$133K 0.03% 285
2015
Q2
$366K Hold
5,244
0.07% 227
2015
Q1
$387K Hold
5,244
0.08% 219
2014
Q4
$380K Sell
5,244
-1,589
-23% -$115K 0.1% 211
2014
Q3
$454K Hold
6,833
0.14% 195
2014
Q2
$496K Hold
6,833
0.2% 154
2014
Q1
$502K Buy
+6,833
New +$502K 0.21% 151
2013
Q4
Sell
-6,833
Closed -$464K 170
2013
Q3
$464K Buy
6,833
+4,767
+231% +$324K 0.17% 172
2013
Q2
$121K Buy
+2,066
New +$121K 0.04% 245