Veritable’s Discovery, Inc. Series A Common Stock DISCA Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q2
Sell
-11,375
Closed -$283K 982
2022
Q1
$283K Buy
11,375
+917
+9% +$22.8K ﹤0.01% 736
2021
Q4
$246K Buy
10,458
+277
+3% +$6.52K ﹤0.01% 794
2021
Q3
$258K Buy
10,181
+356
+4% +$9.02K ﹤0.01% 747
2021
Q2
$301K Sell
9,825
-12
-0.1% -$368 ﹤0.01% 685
2021
Q1
$428K Buy
9,837
+12
+0.1% +$522 0.01% 543
2020
Q4
$296K Sell
9,825
-162
-2% -$4.88K 0.01% 629
2020
Q3
$217K Sell
9,987
-9,079
-48% -$197K ﹤0.01% 672
2020
Q2
$402K Buy
19,066
+515
+3% +$10.9K 0.01% 519
2020
Q1
$361K Buy
18,551
+34
+0.2% +$662 0.01% 510
2019
Q4
$606K Buy
18,517
+148
+0.8% +$4.84K 0.01% 486
2019
Q3
$489K Buy
18,369
+540
+3% +$14.4K 0.01% 514
2019
Q2
$547K Buy
17,829
+229
+1% +$7.03K 0.01% 472
2019
Q1
$476K Sell
17,600
-31
-0.2% -$838 0.01% 511
2018
Q4
$436K Sell
17,631
-4,781
-21% -$118K 0.01% 489
2018
Q3
$717K Sell
22,412
-2,262
-9% -$72.4K 0.01% 409
2018
Q2
$679K Buy
24,674
+5,819
+31% +$160K 0.01% 427
2018
Q1
$404K Buy
18,855
+5,589
+42% +$120K 0.01% 543
2017
Q4
$297K Sell
13,266
-8,001
-38% -$179K 0.01% 631
2017
Q3
$453K Buy
21,267
+432
+2% +$9.2K 0.01% 513
2017
Q2
$538K Buy
20,835
+500
+2% +$12.9K 0.01% 491
2017
Q1
$592K Sell
20,335
-1,008
-5% -$29.3K 0.01% 447
2016
Q4
$585K Buy
21,343
+628
+3% +$17.2K 0.01% 435
2016
Q3
$558K Buy
20,715
+603
+3% +$16.2K 0.01% 440
2016
Q2
$507K Buy
20,112
+521
+3% +$13.1K 0.01% 449
2016
Q1
$561K Sell
19,591
-7,692
-28% -$220K 0.01% 416
2015
Q4
$728K Buy
27,283
+1,388
+5% +$37K 0.02% 373
2015
Q3
$674K Buy
25,895
+5,218
+25% +$136K 0.02% 379
2015
Q2
$688K Sell
20,677
-44
-0.2% -$1.46K 0.02% 385
2015
Q1
$637K Sell
20,721
-832
-4% -$25.6K 0.01% 522
2014
Q4
$743K Buy
21,553
+480
+2% +$16.5K 0.02% 483
2014
Q3
$797K Sell
21,073
-15,409
-42% -$583K 0.02% 466
2014
Q2
$1.39M Buy
36,482
+354
+1% +$13.4K 0.03% 333
2014
Q1
$1.53M Sell
36,128
-642
-2% -$27.1K 0.03% 298
2013
Q4
$1.7M Sell
36,770
-2,660
-7% -$123K 0.04% 274
2013
Q3
$1.7M Buy
39,430
+3,619
+10% +$156K 0.04% 265
2013
Q2
$1.41M Buy
+35,811
New +$1.41M 0.03% 302