West Coast Financial’s Boeing BA Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q2
Sell
-2,277
Closed -$436K 131
2022
Q1
$436K Sell
2,277
-118
-5% -$22.6K 0.07% 90
2021
Q4
$482K Sell
2,395
-740
-24% -$149K 0.07% 91
2021
Q3
$690K Sell
3,135
-1,189
-27% -$262K 0.11% 78
2021
Q2
$1.04M Sell
4,324
-352
-8% -$84.3K 0.17% 72
2021
Q1
$1.19M Sell
4,676
-15,680
-77% -$3.99M 0.21% 68
2020
Q4
$4.36M Sell
20,356
-514
-2% -$110K 0.84% 42
2020
Q3
$3.45M Sell
20,870
-76
-0.4% -$12.6K 0.78% 43
2020
Q2
$3.84M Sell
20,946
-9,098
-30% -$1.67M 0.94% 41
2020
Q1
$4.48M Buy
30,044
+26,678
+793% +$3.98M 1.19% 36
2019
Q4
$1.1M Sell
3,366
-460
-12% -$150K 0.23% 58
2019
Q3
$1.46M Buy
3,826
+100
+3% +$38.1K 0.33% 47
2019
Q2
$1.36M Sell
3,726
-129
-3% -$46.9K 0.31% 52
2019
Q1
$1.47M Sell
3,855
-771
-17% -$294K 0.35% 54
2018
Q4
$1.49M Sell
4,626
-11,370
-71% -$3.67M 0.42% 50
2018
Q3
$5.95M Sell
15,996
-9,455
-37% -$3.52M 1.37% 24
2018
Q2
$8.54M Buy
25,451
+1,141
+5% +$383K 2.36% 10
2018
Q1
$7.97M Sell
24,310
-1,103
-4% -$362K 2.28% 12
2017
Q4
$7.49M Sell
25,413
-753
-3% -$222K 2.11% 12
2017
Q3
$6.65M Buy
26,166
+950
+4% +$242K 1.81% 13
2017
Q2
$4.99M Buy
25,216
+270
+1% +$53.4K 1.59% 22
2017
Q1
$4.41M Sell
24,946
-678
-3% -$120K 1.4% 25
2016
Q4
$3.99M Sell
25,624
-162
-0.6% -$25.2K 1.27% 26
2016
Q3
$3.4M Sell
25,786
-820
-3% -$108K 1.09% 35
2016
Q2
$3.46M Sell
26,606
-29
-0.1% -$3.77K 1.25% 34
2016
Q1
$3.38M Buy
26,635
+562
+2% +$71.3K 1.39% 32
2015
Q4
$3.77M Sell
26,073
-100
-0.4% -$14.5K 1.58% 22
2015
Q3
$3.43M Buy
26,173
+1,555
+6% +$204K 1.53% 28
2015
Q2
$3.41M Buy
24,618
+881
+4% +$122K 1.5% 27
2015
Q1
$3.56M Sell
23,737
-2,969
-11% -$446K 1.65% 25
2014
Q4
$3.47M Buy
26,706
+3,017
+13% +$392K 1.8% 25
2014
Q3
$3.02M Sell
23,689
-71
-0.3% -$9.05K 1.7% 26
2014
Q2
$3.02M Sell
23,760
-9,895
-29% -$1.26M 1.59% 29
2014
Q1
$4.22M Sell
33,655
-1,780
-5% -$223K 2.14% 9
2013
Q4
$4.84M Sell
35,435
-288
-0.8% -$39.3K 2.5% 4
2013
Q3
$4.2M Sell
35,723
-20
-0.1% -$2.35K 2.32% 4
2013
Q2
$3.66M Buy
+35,743
New +$3.66M 2% 6