Amica Retiree Medical Trust’s Boston Properties BXP Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q2
Sell
-2,321
Closed -$235K 113
2021
Q1
$235K Sell
2,321
-31
-1% -$3.14K 0.16% 121
2020
Q4
$222K Hold
2,352
0.16% 133
2020
Q3
$189K Hold
2,352
0.15% 136
2020
Q2
$213K Hold
2,352
0.17% 150
2020
Q1
$217K Buy
2,352
+2,053
+687% +$189K 0.19% 148
2019
Q4
$41K Hold
299
0.03% 310
2019
Q3
$39K Hold
299
0.03% 327
2019
Q2
$39K Sell
299
-555
-65% -$72.4K 0.03% 349
2019
Q1
$114K Hold
854
0.1% 234
2018
Q4
$96K Hold
854
0.09% 240
2018
Q3
$105K Hold
854
0.09% 242
2018
Q2
$107K Hold
854
0.09% 236
2018
Q1
$105K Hold
854
0.09% 245
2017
Q4
$111K Hold
854
0.08% 253
2017
Q3
$105K Buy
+854
New +$105K 0.08% 263
2017
Q2
Sell
-2,845
Closed -$377K 352
2017
Q1
$377K Buy
+2,845
New +$377K 0.3% 100
2016
Q4
Sell
-1,741
Closed -$237K 405
2016
Q3
$237K Hold
1,741
0.2% 138
2016
Q2
$230K Hold
1,741
0.2% 149
2016
Q1
$221K Sell
1,741
-520
-23% -$66K 0.19% 149
2015
Q4
$288K Sell
2,261
-500
-18% -$63.7K 0.25% 112
2015
Q3
$327K Sell
2,761
-835
-23% -$98.9K 0.3% 100
2015
Q2
$435K Hold
3,596
0.37% 86
2015
Q1
$505K Hold
3,596
0.43% 69
2014
Q4
$463K Sell
3,596
-643
-15% -$82.8K 0.37% 81
2014
Q3
$491K Hold
4,239
0.42% 69
2014
Q2
$501K Hold
4,239
0.41% 67
2014
Q1
$485K Hold
4,239
0.41% 69
2013
Q4
$425K Buy
+4,239
New +$425K 0.37% 82