Waddell & Reed Financial’s Tyler Technologies TYL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2021
Q1
$152M Buy
357,869
+10,494
+3% +$4.53M 0.31% 82
2020
Q4
$152M Sell
347,375
-880
-0.3% -$363K 0.32% 82
2020
Q3
$121M Buy
348,255
+18,738
+6% +$6.48M 0.29% 91
2020
Q2
$114M Sell
329,517
-3,261
-1% -$1.09M 0.3% 92
2020
Q1
$98.7M Sell
332,778
-9,992
-3% -$3.1M 0.32% 87
2019
Q4
$103M Sell
342,770
-15,757
-4% -$4.39M 0.26% 114
2019
Q3
$94.1M Buy
358,527
+13,727
+4% +$3.36M 0.24% 118
2019
Q2
$74.5M Buy
344,800
+2,748
+0.8% +$596K 0.18% 150
2019
Q1
$69.9M Buy
342,052
+13,457
+4% +$2.67M 0.17% 162
2018
Q4
$61.1M Buy
328,595
+38,478
+13% +$7.6M 0.17% 158
2018
Q3
$71.1M Sell
290,117
-37,288
-11% -$8.87M 0.16% 163
2018
Q2
$72.7M Sell
327,405
-130,607
-29% -$29.4M 0.17% 150
2018
Q1
$96.6M Sell
458,012
-1,213
-0.3% -$243K 0.22% 118
2017
Q4
$81.3M Sell
459,225
-47,149
-9% -$8.37M 0.18% 142
2017
Q3
$88.3M Sell
506,374
-19,654
-4% -$3.38M 0.2% 130
2017
Q2
$92.4M Buy
526,028
+1,513
+0.3% +$251K 0.2% 135
2017
Q1
$81.1M Buy
524,515
+46,629
+10% +$7.09M 0.17% 152
2016
Q4
$68.2M Buy
477,886
+128,561
+37% +$20M 0.15% 176
2016
Q3
$59.8M Sell
349,325
-30,100
-8% -$5.02M 0.12% 186
2016
Q2
$63.3M Buy
379,425
+8,200
+2% +$1.21M 0.13% 176
2016
Q1
$47.7M Buy
371,225
+2,096
+0.6% +$291K 0.09% 204
2015
Q4
$64.3M Sell
369,129
-65,593
-15% -$11.3M 0.1% 185
2015
Q3
$64.9M Sell
434,722
-123,893
-22% -$17.4M 0.11% 190
2015
Q2
$72.3M Buy
558,615
+4,748
+0.9% +$590K 0.1% 199
2015
Q1
$66.8M Sell
553,867
-25,443
-4% -$2.91M 0.09% 204
2014
Q4
$63.4M Sell
579,310
-10,163
-2% -$1.07M 0.09% 204
2014
Q3
$52.1M Buy
589,473
+5,760
+1% +$520K 0.07% 219
2014
Q2
$53.2M Buy
583,713
+81,970
+16% +$6.65M 0.08% 235
2014
Q1
$42M Sell
501,743
-19,890
-4% -$1.92M 0.06% 249
2013
Q4
$53.3M Sell
521,633
-45,208
-8% -$4.39M 0.09% 218
2013
Q3
$49.6M Sell
566,841
-64,070
-10% -$4.93M 0.09% 205
2013
Q2
$43.2M Buy
+630,911
New +$40.9M 0.09% 211

Other funds holding TYL