Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2022
Q2
Sell
-2,511
Closed -$298K 158
2022
Q1
$298K Buy
2,511
+140
+6% +$16.8K 0.07% 143
2021
Q4
$323K Sell
2,371
-8
-0.3% -$1.16K 0.08% 138
2021
Q3
$370K Buy
+2,379
New +$387K 0.11% 139
2021
Q1
Sell
-20,867
Closed -$2.5M 154
2020
Q4
$2.5M Sell
20,867
-2,753
-12% -$305K 0.86% 38
2020
Q3
$2.24M Sell
23,620
-8,005
-25% -$800K 0.8% 37
2020
Q2
$3.08M Buy
31,625
+5,311
+20% +$454K 1.18% 21
2020
Q1
$1.97M Buy
26,314
+782
+3% +$70.8K 0.85% 36
2019
Q4
$2.49M Buy
25,532
+359
+1% +$33.5K 0.85% 34
2019
Q3
$2.13M Sell
25,173
-929
-4% -$75K 0.77% 43
2019
Q2
$2.08M Buy
26,102
+1,705
+7% +$139K 0.79% 39
2019
Q1
$2.11M Sell
24,397
-1,343
-5% -$101K 0.85% 37
2018
Q4
$1.63M Sell
25,740
-815
-3% -$52.8K 0.7% 44
2018
Q3
$1.86M Buy
26,555
+920
+4% +$60.3K 0.68% 50
2018
Q2
$1.56M Sell
25,635
-94
-0.4% -$5.64K 0.62% 51
2018
Q1
$1.52M Buy
25,729
+10,286
+67% +$630K 0.52% 55
2017
Q4
$920K Sell
15,443
-259
-2% -$15.2K 0.31% 81
2017
Q3
$847K Buy
15,702
+225
+1% +$11.7K 0.31% 91
2017
Q2
$790K Buy
15,477
+3,335
+27% +$171K 0.3% 91
2017
Q1
$621K Buy
12,142
+671
+6% +$33.8K 0.25% 122
2016
Q4
$556K Buy
11,471
+30
+0.3% +$1.49K 0.24% 135
2016
Q3
$550K Sell
11,441
-8
-0.1% -$395 0.23% 135
2016
Q2
$486K Sell
11,449
-152
-1% -$6.32K 0.2% 148
2016
Q1
$464K Buy
11,601
+198
+2% +$7.35K 0.18% 155
2015
Q4
$424K Buy
11,403
+1,468
+15% +$53.4K 0.16% 197
2015
Q3
$356K Sell
9,935
-742
-7% -$29.5K 0.16% 170
2015
Q2
$469K Sell
10,677
-655
-6% -$30.2K 0.22% 134
2015
Q1
$539K Sell
11,332
-2,432
-18% -$124K 0.26% 125
2014
Q4
$727K Sell
13,764
-4,488
-25% -$244K 0.36% 94
2014
Q3
$949K Sell
18,252
-1,015
-5% -$56.3K 0.47% 67
2014
Q2
$1.17M Buy
19,267
+9,335
+94% +$537K 0.53% 54
2014
Q1
$549K Sell
9,932
-523
-5% -$25.9K 0.25% 130
2013
Q4
$483K Buy
10,455
+2,210
+27% +$105K 0.21% 141
2013
Q3
$373K Sell
8,245
-305
-4% -$12.1K 0.17% 168
2013
Q2
$309K Buy
+8,550
New +$297K 0.15% 174

Other funds holding GRMN