EATON VANCE MANAGEMENT PayPal Holdings, Inc. Transaction History

EATON VANCE MANAGEMENT portfolio value:

$69.43M
portfolio value

EATON VANCE MANAGEMENT quarter portfolio value change:

+23.24%
quarter

PayPal Holdings, Inc. 13F transactions

Quarter Transaction type Change Relative change Absolute change Change value Avg. price Shares
Q3 2022 share Decrease -0.22% -1.81K shares 12.96M $86.07 806.75K
Q2 2022 share Decrease -50.63% -829.32K shares -132.95M $69.84 808.57K
Q1 2022 share Decrease -12.60% -236.19K shares -163.99M $115.65 1.63M
Q4 2021 share Decrease -19.30% -448.29K shares -249.17M $191.88 1.87M
Q3 2021 share Increase +4.84% 107.14K shares -45.68M $260.21 2.32M
Q2 2021 share Increase +5.31% 111.63K shares 134.86M $291.48 2.21M
Q1 2021 share Increase +6.27% 124.07K shares 47.23M $242.84 2.10M
Q4 2020 share Increase +10.72% 191.72K shares 111.35M $234.2 1.97M
Q3 2020 share Decrease -3.96% -73.66K shares 27.92M $197.03 1.78M
Q2 2020 share Decrease -1.17% -21.94K shares 143.98M $174.23 1.86M
Q1 2020 share Increase +91.52% 899.98K shares 73.95M $95.74 1.88M
Q4 2019 share Increase +37.23% 266.78K shares 32.14M $108.17 983.41K
Q3 2019 share Increase +89.93% 339.32K shares 31.04M $103.59 716.63K
Q2 2019 share Increase +0.31% 1.16K shares 4.12M $114.46 377.30K
Q1 2019 share Increase +0.48% 1.80K shares 7.58M $103.84 376.14K
Q4 2018 share Increase +3.15% 11.42K shares -400K $84.09 374.33K
Q3 2018 share Decrease -0.18% -642 shares 1.60M $87.84 362.91K
Q2 2018 share Increase +2.29% 8.15K shares 3.30M $83.27 363.55K
Q1 2018 share Decrease -3.06% -11.23K shares -28K $75.87 355.40K
Q4 2017 share Decrease -1.84% -6.85K shares 3.07M $73.62 366.63K
Q3 2017 share Decrease -19.80% -92.22K shares -1.08M $64.03 373.49K
Q2 2017 share Decrease -30.31% -202.58K shares -3.75M $53.67 465.71K
Q1 2017 share Decrease -9.00% -66.06K shares -235K $43.02 668.29K
Q4 2016 share Decrease -17.08% -151.27K shares -7.3M $39.47 734.36K
Q3 2016 share Decrease -14.24% -147.08K shares -1.41M $40.97 885.63K
Q2 2016 share Decrease -5.81% -63.65K shares -4.61M $36.51 1.03M
Q1 2016 share Decrease -4.00% -45.64K shares 979K $38.6 1.09M