Twin Tree Management’s Hershey HSY Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
Hold
0
669
2025
Q1
Hold
0
724
2024
Q4
Hold
0
677
2024
Q3
Sell
-29,466
Closed -$5.42M 684
2024
Q2
$5.42M Sell
29,466
-52,885
-64% -$9.72M 0.01% 169
2024
Q1
$16M Buy
+82,351
New +$16M 0.04% 83
2023
Q4
Hold
0
612
2022
Q1
Sell
-184
Closed -$36K 757
2021
Q4
$36K Sell
184
-3,622
-95% -$709K ﹤0.01% 560
2021
Q3
$644K Buy
3,806
+1,725
+83% +$292K ﹤0.01% 449
2021
Q2
$362K Buy
+2,081
New +$362K ﹤0.01% 453
2021
Q1
Sell
-198
Closed -$30K 677
2020
Q4
$30K Buy
198
+191
+2,729% +$28.9K ﹤0.01% 455
2020
Q3
$1K Buy
+7
New +$1K ﹤0.01% 468
2020
Q2
Hold
0
704
2020
Q1
Sell
-1,860
Closed -$273K 673
2019
Q4
$273K Sell
1,860
-29,932
-94% -$4.39M ﹤0.01% 342
2019
Q3
$4.93M Sell
31,792
-14,230
-31% -$2.21M 0.02% 91
2019
Q2
$6.17M Buy
+46,022
New +$6.17M 0.03% 65
2018
Q4
Sell
-18,067
Closed -$1.84M 661
2018
Q3
$1.84M Sell
18,067
-809
-4% -$82.5K 0.01% 177
2018
Q2
$1.76M Buy
18,876
+17,757
+1,587% +$1.65M 0.01% 221
2018
Q1
$111K Sell
1,119
-966
-46% -$95.8K ﹤0.01% 359
2017
Q4
$237K Sell
2,085
-975
-32% -$111K ﹤0.01% 278
2017
Q3
$334K Buy
+3,060
New +$334K ﹤0.01% 239
2017
Q2
Sell
-5,152
Closed -$563K 434
2017
Q1
$563K Sell
5,152
-10,562
-67% -$1.15M 0.01% 265
2016
Q4
$1.63M Buy
15,714
+5,356
+52% +$554K 0.02% 177
2016
Q3
$990K Sell
10,358
-11,546
-53% -$1.1M 0.01% 197
2016
Q2
$2.49M Buy
21,904
+13,323
+155% +$1.51M 0.04% 59
2016
Q1
$790K Sell
8,581
-8,058
-48% -$742K 0.02% 163
2015
Q4
$1.49M Buy
16,639
+3,245
+24% +$290K 0.03% 83
2015
Q3
$1.23M Buy
13,394
+3,156
+31% +$290K 0.03% 72
2015
Q2
$909K Buy
10,238
+3,482
+52% +$309K 0.02% 122
2015
Q1
$682K Buy
+6,756
New +$682K 0.02% 140
2014
Q4
Sell
-3,544
Closed -$338K 398
2014
Q3
$338K Sell
3,544
-7,232
-67% -$690K 0.01% 193
2014
Q2
$1.05M Buy
10,776
+8,002
+288% +$779K 0.02% 92
2014
Q1
$290K Sell
2,774
-1,001
-27% -$105K 0.01% 171
2013
Q4
$367K Buy
+3,775
New +$367K 0.01% 148
2013
Q3
Sell
-1,671
Closed -$149K 271
2013
Q2
$149K Buy
+1,671
New +$149K 0.01% 153