TCTC Holdings’s EOG Resources EOG Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$69.7K Hold
583
﹤0.01% 304
2025
Q1
$74.8K Buy
583
+150
+35% +$19.2K ﹤0.01% 285
2024
Q4
$53.1K Buy
433
+333
+333% +$40.8K ﹤0.01% 316
2024
Q3
$12.3K Hold
100
﹤0.01% 421
2024
Q2
$12.6K Hold
100
﹤0.01% 429
2024
Q1
$12.8K Buy
+100
New +$12.8K ﹤0.01% 417
2023
Q2
Sell
-491
Closed -$56.3K 455
2023
Q1
$56.3K Buy
+491
New +$56.3K ﹤0.01% 282
2022
Q1
Sell
-6,150
Closed -$546K 444
2021
Q4
$546K Hold
6,150
0.02% 136
2021
Q3
$494K Buy
6,150
+400
+7% +$32.1K 0.02% 134
2021
Q2
$480K Hold
5,750
0.02% 138
2021
Q1
$417K Sell
5,750
-1,182
-17% -$85.7K 0.02% 140
2020
Q4
$346K Buy
6,932
+1
+0% +$50 0.02% 146
2020
Q3
$249K Sell
6,931
-2,439
-26% -$87.6K 0.02% 152
2020
Q2
$475K Buy
9,370
+280
+3% +$14.2K 0.03% 122
2020
Q1
$327K Sell
9,090
-1,350
-13% -$48.6K 0.02% 124
2019
Q4
$874K Buy
10,440
+350
+3% +$29.3K 0.04% 102
2019
Q3
$749K Buy
10,090
+1,850
+22% +$137K 0.04% 106
2019
Q2
$768K Hold
8,240
0.04% 106
2019
Q1
$785K Hold
8,240
0.04% 101
2018
Q4
$719K Buy
8,240
+1,690
+26% +$147K 0.04% 100
2018
Q3
$836K Hold
6,550
0.04% 101
2018
Q2
$815K Hold
6,550
0.04% 99
2018
Q1
$690K Sell
6,550
-764
-10% -$80.5K 0.04% 99
2017
Q4
$789K Sell
7,314
-600
-8% -$64.7K 0.04% 99
2017
Q3
$765K Sell
7,914
-300
-4% -$29K 0.05% 100
2017
Q2
$743K Buy
8,214
+3,900
+90% +$353K 0.05% 100
2017
Q1
$420K Sell
4,314
-450
-9% -$43.8K 0.03% 133
2016
Q4
$482K Hold
4,764
0.03% 125
2016
Q3
$460K Buy
4,764
+900
+23% +$86.9K 0.03% 114
2016
Q2
$322K Hold
3,864
0.02% 145
2016
Q1
$280K Sell
3,864
-270
-7% -$19.6K 0.02% 156
2015
Q4
$293K Hold
4,134
0.02% 150
2015
Q3
$301K Buy
4,134
+1,170
+39% +$85.2K 0.02% 144
2015
Q2
$260K Hold
2,964
0.01% 146
2015
Q1
$272K Buy
2,964
+300
+11% +$27.5K 0.02% 147
2014
Q4
$246K Buy
2,664
+148
+6% +$13.7K 0.01% 152
2014
Q3
$250K Buy
2,516
+164
+7% +$16.3K 0.01% 151
2014
Q2
$274K Hold
2,352
0.02% 131
2014
Q1
$230K Sell
2,352
-3,000
-56% -$293K 0.01% 157
2013
Q4
$449K Sell
5,352
-350
-6% -$29.4K 0.03% 123
2013
Q3
$483K Buy
5,702
+1,152
+25% +$97.6K 0.03% 121
2013
Q2
$300K Buy
+4,550
New +$300K 0.02% 132