A detailed history of Coston, Mc Isaac & Partners transactions in Phillips 66 stock. As of the latest transaction made, Coston, Mc Isaac & Partners holds 276 shares of PSX stock, worth $33,691. This represents 0.01% of its overall portfolio holdings.

Number of Shares
276
Previous 265 4.15%
Holding current value
$33,691
Previous $37,000 2.7%
% of portfolio
0.01%
Previous 0.01%

Shares

5 transactions
Quarter Operation Price Per share shares change shares Held SEC Form
Q3 2024

Oct 22, 2024

BUY
$125.0 - $147.17 $1,375 - $1,618
11 Added 4.15%
276 $36,000
Q2 2024

Jul 31, 2024

BUY
$135.85 - $172.71 $8,830 - $11,226
65 Added 32.5%
265 $37,000
Q2 2023

Aug 01, 2023

SELL
$90.81 - $106.46 $2,270 - $2,661
-25 Reduced 11.11%
200 $19,000
Q1 2023

Apr 19, 2023

BUY
$93.54 - $111.49 $2,338 - $2,787
25 Added 12.5%
225 $22,000
Q2 2022

Sep 21, 2022

BUY
$81.02 - $110.25 $16,204 - $22,050
200 New
200 $16,000

Others Institutions Holding PSX

About Phillips 66


  • Ticker PSX
  • Exchange NYSE
  • Sector Energy
  • Industry Oil & Gas Refining & Marketing
  • Shares Outstandng 481,051,008
  • Market Cap $58.7B
  • Description
  • Phillips 66 operates as an energy manufacturing and logistics company. It operates through four segments: Midstream, Chemicals, Refining, and Marketing and Specialties (M&S). The Midstream segment transports crude oil and other feedstocks; delivers refined petroleum products to market; provides terminaling and storage services for crude oil ...
More about PSX
Track This Portfolio

Track Coston, Mc Isaac & Partners Portfolio

Follow Coston, Mc Isaac & Partners and customize your updates to receive the information that matters most to you.

Portfolio Update

Get notified when there are updates to the investment portfolio of Coston, Mc Isaac & Partners, based on Form 13F filings with the SEC.

News

Stay updated on Coston, Mc Isaac & Partners with notifications on news.