United Services Automobile Association’s Western Digital WDC Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
Sell
-7,786
Closed -$316K 1007
2025
Q1
$316K Buy
+7,786
New +$316K 0.01% 792
2024
Q2
Sell
-13,428
Closed -$693K 472
2024
Q1
$693K Hold
13,428
0.02% 286
2023
Q4
$532K Hold
13,428
0.01% 329
2023
Q3
$463K Buy
+13,428
New +$463K 0.01% 313
2023
Q1
Sell
-15,158
Closed -$361K 534
2022
Q4
$361K Hold
15,158
0.01% 484
2022
Q3
$372K Hold
15,158
0.01% 483
2022
Q2
$514K Buy
+15,158
New +$514K 0.01% 415
2019
Q3
Sell
-1,182,759
Closed -$42.5M 1725
2019
Q2
$42.5M Sell
1,182,759
-129,038
-10% -$4.64M 0.11% 235
2019
Q1
$47.7M Buy
1,311,797
+270,065
+26% +$9.81M 0.12% 208
2018
Q4
$29.1M Sell
1,041,732
-39,084
-4% -$1.09M 0.08% 268
2018
Q3
$47.8M Sell
1,080,816
-164,327
-13% -$7.27M 0.12% 210
2018
Q2
$72.9M Sell
1,245,143
-21,389
-2% -$1.25M 0.19% 124
2018
Q1
$88.3M Sell
1,266,532
-12,408
-1% -$865K 0.24% 96
2017
Q4
$76.9M Buy
1,278,940
+249,332
+24% +$15M 0.21% 109
2017
Q3
$67.2M Sell
1,029,608
-16,841
-2% -$1.1M 0.2% 119
2017
Q2
$70.1M Sell
1,046,449
-294,865
-22% -$19.7M 0.21% 110
2017
Q1
$83.7M Buy
1,341,314
+325,259
+32% +$20.3M 0.26% 81
2016
Q4
$52.2M Buy
1,016,055
+334,280
+49% +$17.2M 0.17% 134
2016
Q3
$30.1M Buy
681,775
+23,063
+4% +$1.02M 0.1% 244
2016
Q2
$23.5M Buy
658,712
+34,929
+6% +$1.25M 0.08% 278
2016
Q1
$22.3M Buy
623,783
+99,756
+19% +$3.56M 0.08% 280
2015
Q4
$23.8M Buy
524,027
+2,457
+0.5% +$112K 0.08% 270
2015
Q3
$31.3M Sell
521,570
-210,046
-29% -$12.6M 0.12% 210
2015
Q2
$43.4M Buy
731,616
+187,065
+34% +$11.1M 0.15% 162
2015
Q1
$37.5M Buy
544,551
+43,545
+9% +$3M 0.13% 193
2014
Q4
$41.9M Sell
501,006
-6,810
-1% -$570K 0.15% 163
2014
Q3
$37.4M Buy
507,816
+23,841
+5% +$1.75M 0.13% 166
2014
Q2
$33.8M Sell
483,975
-58,241
-11% -$4.06M 0.12% 189
2014
Q1
$37.6M Sell
542,216
-84,889
-14% -$5.89M 0.15% 164
2013
Q4
$39.8M Sell
627,105
-38,273
-6% -$2.43M 0.16% 153
2013
Q3
$31.9M Buy
665,378
+30,753
+5% +$1.47M 0.14% 176
2013
Q2
$29.8M Buy
+634,625
New +$29.8M 0.14% 172