Twin Tree Management’s AT&T T Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$1.01M Sell
34,800
-1,551,600
-98% -$41.4M 0.02% 726
2025
Q4
$39.4M Buy
1,586,400
+956,900
+152% +$24.2M 0.34% 39
2025
Q3
$17.8M Buy
+629,500
New +$17.9M 0.07% 321
2025
Q2
Sell
-1,038,000
Closed -$29.4M 1918
2025
Q1
$29.4M Buy
1,038,000
+478,100
+85% +$12M 0.06% 308
2024
Q4
$12.7M Sell
559,900
-4,332,100
-89% -$97.5M 0.02% 599
2024
Q3
$108M Sell
4,892,000
-327,300
-6% -$6.51M 0.21% 69
2024
Q2
$99.7M Sell
5,219,300
-2,062,100
-28% -$35.9M 0.23% 79
2024
Q1
$128M Sell
7,281,400
-4,226,900
-37% -$72.2M 0.28% 66
2023
Q4
$193M Buy
11,508,300
+5,945,400
+107% +$93.9M 0.37% 47
2023
Q3
$83.6M Buy
5,562,900
+5,562,200
+794,600% +$81.5M 0.19% 101
2023
Q2
$11.2K Sell
700
-3,532,300
-100% -$60.2M ﹤0.01% 1191
2023
Q1
$68M Sell
3,533,000
-2,552,600
-42% -$48.8M 0.13% 127
2022
Q4
$112M Sell
6,085,600
-5,045,300
-45% -$90.3M 0.24% 65
2022
Q3
$171M Buy
11,130,900
+6,101,100
+121% +$111M 0.33% 32
2022
Q2
$105M Buy
5,029,800
+4,381,172
+675% +$87.4M 0.17% 67
2022
Q1
$11.6M Sell
648,628
-2,860,766
-82% -$52.9M 0.02% 664
2021
Q4
$65.2M Sell
3,509,394
-1,344,920
-28% -$25.1M 0.14% 123
2021
Q3
$99M Sell
4,854,314
-656,571
-12% -$13.8M 0.22% 76
2021
Q2
$120M Buy
5,510,885
+1,279,646
+30% +$29.1M 0.32% 47
2021
Q1
$96.7M Sell
4,231,239
-268,772
-6% -$5.94M 0.36% 51
2020
Q4
$97.7M Buy
4,500,011
+639,095
+17% +$13.8M 0.39% 44
2020
Q3
$83.1M Buy
3,860,916
+1,481,953
+62% +$33.1M 0.34% 57
2020
Q2
$54.3M Buy
2,378,963
+1,740,133
+272% +$39.6M 0.22% 99
2020
Q1
$14.1M Sell
638,830
-640,948
-50% -$17.5M 0.07% 251
2019
Q4
$37.8M Buy
1,279,778
+288,764
+29% +$8.34M 0.13% 132
2019
Q3
$28.3M Sell
991,014
-2,299,391
-70% -$60.9M 0.11% 140
2019
Q2
$83.3M Sell
3,290,405
-323,850
-9% -$7.77M 0.41% 43
2019
Q1
$85.6M Sell
3,614,255
-687,289
-16% -$15.8M 0.44% 40
2018
Q4
$92.7M Buy
4,301,544
+1,706,901
+66% +$39.7M 0.58% 18
2018
Q3
$65.8M Buy
2,594,643
+636,315
+32% +$15.6M 0.45% 27
2018
Q2
$47.5M Buy
1,958,328
+367,012
+23% +$9.21M 0.29% 56
2018
Q1
$42.8M Buy
1,591,316
+725,552
+84% +$20.2M 0.34% 37
2017
Q4
$25.4M Buy
865,764
+222,300
+35% +$6.07M 0.19% 85
2017
Q3
$19M Buy
643,464
+417,457
+185% +$11.9M 0.15% 138
2017
Q2
$6.44M Sell
226,007
-169,075
-43% -$4.98M 0.05% 325
2017
Q1
$12.4M Buy
395,082
+134,122
+51% +$4.22M 0.11% 186
2016
Q4
$8.38M Buy
+260,960
New +$7.7M 0.08% 286
2016
Q3
Sell
-25,024
Closed -$817K 1331
2016
Q2
$817K Sell
25,024
-120,748
-83% -$3.59M 0.01% 708
2016
Q1
$4.31M Sell
145,772
-79,573
-35% -$2.2M 0.08% 251
2015
Q4
$5.86M Sell
225,345
-130,017
-37% -$3.3M 0.12% 177
2015
Q3
$8.74M Buy
355,362
+221,373
+165% +$5.64M 0.22% 63
2015
Q2
$3.6M Buy
133,989
+28,069
+27% +$725K 0.09% 223
2015
Q1
$2.61M Buy
105,920
+62,890
+146% +$1.6M 0.07% 314
2014
Q4
$1.09M Sell
43,030
-81,558
-65% -$2.12M 0.03% 563
2014
Q3
$3.32M Sell
124,588
-122,206
-50% -$3.25M 0.09% 252
2014
Q2
$6.59M Buy
246,794
+98,241
+66% +$2.63M 0.15% 145
2014
Q1
$3.94M Buy
148,553
+45,413
+44% +$1.14M 0.08% 293
2013
Q4
$2.74M Buy
103,140
+75,468
+273% +$1.99M 0.07% 324
2013
Q3
$707K Buy
+27,672
New +$727K 0.02% 543

Other funds holding T