WhitTier Trust Company’s Universal Health Services UHS Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$943K Buy
5,208
+4
+0.1% +$725 0.02% 317
2025
Q1
$978K Sell
5,204
-500
-9% -$94K 0.02% 306
2024
Q4
$1.02M Sell
5,704
-246
-4% -$44.1K 0.03% 287
2024
Q3
$1.36M Hold
5,950
0.04% 263
2024
Q2
$1.1M Hold
5,950
0.03% 269
2024
Q1
$1.09M Hold
5,950
0.03% 273
2023
Q4
$907K Hold
5,950
0.03% 286
2023
Q3
$748K Hold
5,950
0.03% 296
2023
Q2
$939K Hold
5,950
0.03% 286
2023
Q1
$756K Hold
5,950
0.03% 300
2022
Q4
$838K Hold
5,950
0.03% 291
2022
Q3
$525K Hold
5,950
0.02% 329
2022
Q2
$599K Hold
5,950
0.02% 323
2022
Q1
$862K Hold
5,950
0.03% 302
2021
Q4
$771K Hold
5,950
0.03% 305
2021
Q3
$823K Hold
5,950
0.03% 288
2021
Q2
$871K Hold
5,950
0.04% 283
2021
Q1
$794K Hold
5,950
0.04% 282
2020
Q4
$818K Hold
5,950
0.04% 262
2020
Q3
$637K Hold
5,950
0.04% 275
2020
Q2
$553K Sell
5,950
-200
-3% -$18.6K 0.03% 283
2020
Q1
$609K Hold
6,150
0.05% 245
2019
Q4
$882K Hold
6,150
0.06% 228
2019
Q3
$915K Hold
6,150
0.06% 220
2019
Q2
$802K Hold
6,150
0.06% 223
2019
Q1
$823K Hold
6,150
0.06% 213
2018
Q4
$717K Hold
6,150
0.06% 215
2018
Q3
$786K Hold
6,150
0.06% 215
2018
Q2
$685K Hold
6,150
0.05% 230
2018
Q1
$728K Sell
6,150
-250
-4% -$29.6K 0.06% 221
2017
Q4
$725K Hold
6,400
0.06% 221
2017
Q3
$710K Hold
6,400
0.07% 223
2017
Q2
$781K Buy
6,400
+200
+3% +$24.4K 0.08% 209
2017
Q1
$772K Hold
6,200
0.08% 210
2016
Q4
$660K Hold
6,200
0.07% 208
2016
Q3
$764K Hold
6,200
0.09% 196
2016
Q2
$831K Hold
6,200
0.09% 193
2016
Q1
$773K Hold
6,200
0.09% 201
2015
Q4
$741K Sell
6,200
-200
-3% -$23.9K 0.09% 207
2015
Q3
$799K Hold
6,400
0.1% 201
2015
Q2
$909K Hold
6,400
0.1% 202
2015
Q1
$753K Hold
6,400
0.08% 214
2014
Q4
$712K Hold
6,400
0.08% 220
2014
Q3
$669K Sell
6,400
-600
-9% -$62.7K 0.08% 223
2014
Q2
$670K Hold
7,000
0.08% 220
2014
Q1
$574K Hold
7,000
0.07% 222
2013
Q4
$569K Sell
7,000
-100
-1% -$8.13K 0.07% 217
2013
Q3
$532K Sell
7,100
-100
-1% -$7.49K 0.07% 208
2013
Q2
$482K Buy
+7,200
New +$482K 0.07% 214