Ameriprise’s FLIR Systems, Inc. (DE) Common Stock FLIR Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q2
Sell
-1,181,222
Closed -$68.2M 4020
2021
Q1
$68.2M Sell
1,181,222
-590,360
-33% -$34.1M 0.02% 638
2020
Q4
$78M Buy
1,771,582
+96,722
+6% +$4.26M 0.03% 559
2020
Q3
$59.7M Buy
1,674,860
+1,456,524
+667% +$51.9M 0.02% 580
2020
Q2
$8.86M Buy
218,336
+97,319
+80% +$3.95M ﹤0.01% 1623
2020
Q1
$3.87M Buy
121,017
+21,469
+22% +$686K ﹤0.01% 2075
2019
Q4
$5.18M Sell
99,548
-29,225
-23% -$1.52M ﹤0.01% 2215
2019
Q3
$6.77M Sell
128,773
-134,608
-51% -$7.08M ﹤0.01% 1994
2019
Q2
$14.2M Buy
263,381
+73,795
+39% +$3.99M 0.01% 1442
2019
Q1
$9.02M Buy
189,586
+28,835
+18% +$1.37M ﹤0.01% 1779
2018
Q4
$7M Sell
160,751
-132,499
-45% -$5.77M ﹤0.01% 1882
2018
Q3
$18M Buy
293,250
+32,189
+12% +$1.98M 0.01% 1391
2018
Q2
$13.6M Sell
261,061
-14,851
-5% -$772K 0.01% 1477
2018
Q1
$13.8M Buy
275,912
+2,988
+1% +$149K 0.01% 1391
2017
Q4
$12.7M Sell
272,924
-220
-0.1% -$10.3K 0.01% 1415
2017
Q3
$10.6M Buy
273,144
+4,925
+2% +$192K 0.01% 1525
2017
Q2
$9.3M Sell
268,219
-59,506
-18% -$2.06M ﹤0.01% 1612
2017
Q1
$11.9M Sell
327,725
-703,122
-68% -$25.5M 0.01% 1399
2016
Q4
$37.3M Buy
1,030,847
+72,068
+8% +$2.61M 0.02% 637
2016
Q3
$30.1M Sell
958,779
-166,996
-15% -$5.25M 0.02% 716
2016
Q2
$34.8M Sell
1,125,775
-322,807
-22% -$9.99M 0.02% 632
2016
Q1
$47.7M Sell
1,448,582
-212,095
-13% -$6.99M 0.03% 492
2015
Q4
$46.6M Buy
1,660,677
+115,318
+7% +$3.24M 0.03% 502
2015
Q3
$43.2M Buy
1,545,359
+3,538
+0.2% +$99K 0.03% 537
2015
Q2
$47.5M Sell
1,541,821
-246,321
-14% -$7.59M 0.03% 541
2015
Q1
$55.9M Buy
1,788,142
+292,876
+20% +$9.16M 0.03% 487
2014
Q4
$48.3M Sell
1,495,266
-172,515
-10% -$5.57M 0.03% 532
2014
Q3
$52.3M Buy
1,667,781
+33,338
+2% +$1.04M 0.03% 493
2014
Q2
$56.8M Sell
1,634,443
-999,705
-38% -$34.7M 0.03% 491
2014
Q1
$94.8M Buy
2,634,148
+1,045,441
+66% +$37.6M 0.06% 326
2013
Q4
$47.8M Buy
1,588,707
+657,711
+71% +$19.8M 0.03% 550
2013
Q3
$29.2M Buy
930,996
+2,393
+0.3% +$75.1K 0.02% 791
2013
Q2
$25M Buy
+928,603
New +$25M 0.02% 850