DSL position history
The shares of Doubleline Income Solutions (DSL) that HORIZON KINETICS ASSET MANAGEMENT LLC reported in each quarter’s 13F.
Shares held by quarter
New Add Reduce Exit
- 2021 Q3 · 229,453 shares · $4M · 0.10% of portfolio
- 2021 Q4 · 247,024 shares · $4M · 0.09% of portfolio · Add +7.7%
- 2022 Q1 · 241,637 shares · $4M · 0.07% of portfolio · Reduce −2.2%
- 2022 Q2 · 236,611 shares · $3M · 0.06% of portfolio · Reduce −2.1%
- 2022 Q3 · 122,454 shares · $1M · 0.03% of portfolio · Reduce −48.2%
- 2022 Q4 · 169,162 shares · $2M · 0.03% of portfolio · Add +38.1%
- 2023 Q1 · 82,306 shares · $936K · 0.02% of portfolio · Reduce −51.3%
- 2023 Q2 · 81,720 shares · $973K · 0.02% of portfolio · Reduce −0.7%
- 2023 Q3 · 81,273 shares · $953K · 0.02% of portfolio · Reduce −0.5%
- 2023 Q4 · 63,363 shares · $776K · 0.02% of portfolio · Reduce −22.0%
- 2024 Q1 · 64,223 shares · $816K · 0.02% of portfolio · Add +1.4%
- 2024 Q2 · 63,336 shares · $793K · 0.01% of portfolio · Reduce −1.4%
- 2024 Q3 · 59,308 shares · $770K · 0.01% of portfolio · Reduce −6.4%
- 2024 Q4 · 58,329 shares · $733K · <0.01% of portfolio · Reduce −1.7%
- 2025 Q1 · 57,717 shares · $728K · <0.01% of portfolio · Reduce −1.0%
- 2025 Q2 · 56,052 shares · $686K · <0.01% of portfolio · Reduce −2.9%
- 2025 Q3 · 54,114 shares · $665K · <0.01% of portfolio · Reduce −3.5%
- 2025 Q4 · 52,682 shares · $594K · <0.01% of portfolio · Reduce −2.6%
- 2026 Q1 · 53,462 shares · $579K · <0.01% of portfolio · Add +1.5%
- 2026 Q2 · 46,153 shares · $510K · <0.01% of portfolio · Reduce −13.7%
| Holdings date | Value | % of holdings | Shares | Filing date | All 13F holders |
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