AAMU
BAC icon

Amundi Asset Management US’s Bank of America BAC Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2021
Q1
$782M Sell
20,220,613
-9,611,845
-32% -$372M 0.6% 32
2020
Q4
$904M Buy
29,832,458
+5,747,581
+24% +$174M 0.77% 20
2020
Q3
$580M Sell
24,084,877
-5,151,380
-18% -$124M 0.61% 30
2020
Q2
$694M Buy
29,236,257
+5,848,637
+25% +$139M 0.82% 19
2020
Q1
$497M Buy
23,387,620
+6,670,827
+40% +$142M 0.86% 21
2019
Q4
$589M Buy
16,716,793
+3,121,325
+23% +$110M 0.69% 26
2019
Q3
$397M Sell
13,595,468
-2,451,678
-15% -$71.5M 0.59% 29
2019
Q2
$465M Sell
16,047,146
-3,225,129
-17% -$93.5M 0.38% 70
2019
Q1
$532M Sell
19,272,275
-2,731,127
-12% -$75.4M 0.75% 23
2018
Q4
$542K Sell
22,003,402
-4,416,051
-17% -$109K 0.5% 27
2018
Q3
$778M Buy
26,419,453
+4,129,030
+19% +$122M 1.02% 10
2018
Q2
$628M Buy
22,290,423
+6,687,315
+43% +$189M 0.91% 12
2018
Q1
$468M Sell
15,603,108
-286,664
-2% -$8.6M 0.75% 19
2017
Q4
$469M Buy
15,889,772
+12,485,136
+367% +$369M 0.72% 22
2017
Q3
$86.3M Buy
3,404,636
+1,329,300
+64% +$33.7M 0.27% 89
2017
Q2
$50.3M Sell
2,075,336
-6,131
-0.3% -$149K 0.17% 118
2017
Q1
$49.1M Sell
2,081,467
-34,833
-2% -$822K 0.17% 115
2016
Q4
$46.8M Buy
2,116,300
+2,668
+0.1% +$59K 0.16% 115
2016
Q3
$33.1M Sell
2,113,632
-1,049,305
-33% -$16.4M 0.12% 150
2016
Q2
$42M Sell
3,162,937
-231,365
-7% -$3.07M 0.15% 122
2016
Q1
$45.9M Sell
3,394,302
-20,731,901
-86% -$280M 0.17% 118
2015
Q4
$406M Buy
24,126,203
+12,756,293
+112% +$215M 1.52% 7
2015
Q3
$177M Buy
11,369,910
+4,962,765
+77% +$77.3M 0.73% 33
2015
Q2
$109M Sell
6,407,145
-2,042,903
-24% -$34.8M 0.4% 77
2015
Q1
$130M Sell
8,450,048
-6,520,231
-44% -$100M 0.47% 65
2014
Q4
$268M Sell
14,970,279
-20,313
-0.1% -$363K 0.97% 15
2014
Q3
$256M Buy
14,990,592
+3,525,920
+31% +$60.1M 0.97% 14
2014
Q2
$176M Sell
11,464,672
-1,837,309
-14% -$28.2M 0.68% 38
2014
Q1
$229M Buy
13,301,981
+10,119,611
+318% +$174M 0.87% 22
2013
Q4
$49.6M Sell
3,182,370
-3,663
-0.1% -$57K 0.19% 146
2013
Q3
$44M Sell
3,186,033
-1,108,157
-26% -$15.3M 0.18% 152
2013
Q2
$55.2M Buy
+4,294,190
New +$55.2M 0.23% 125