AAMU
GIS icon

Amundi Asset Management US’s General Mills GIS Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2021
Q1
$128M Sell
2,081,965
-326,600
-14% -$20M 0.1% 225
2020
Q4
$142M Sell
2,408,565
-437,538
-15% -$25.7M 0.12% 186
2020
Q3
$176M Buy
2,846,103
+71,479
+3% +$4.41M 0.18% 111
2020
Q2
$171M Sell
2,774,624
-120,989
-4% -$7.45M 0.2% 106
2020
Q1
$84.9M Buy
2,895,613
+421,369
+17% +$12.4M 0.15% 127
2019
Q4
$133M Buy
2,474,244
+1,338,278
+118% +$71.7M 0.16% 142
2019
Q3
$62.6M Sell
1,135,966
-7,245
-0.6% -$399K 0.09% 227
2019
Q2
$60M Sell
1,143,211
-169,010
-13% -$8.88M 0.05% 277
2019
Q1
$67.9M Sell
1,312,221
-43,059
-3% -$2.23M 0.1% 218
2018
Q4
$52.8K Sell
1,355,280
-1,866,222
-58% -$72.7K 0.05% 248
2018
Q3
$138M Buy
3,221,502
+1,431,545
+80% +$61.4M 0.18% 134
2018
Q2
$79.2M Buy
1,789,957
+50,217
+3% +$2.22M 0.11% 193
2018
Q1
$78.4M Sell
1,739,740
-1,492,007
-46% -$67.2M 0.13% 178
2017
Q4
$192M Buy
3,231,747
+2,739,889
+557% +$162M 0.3% 80
2017
Q3
$25.5M Sell
491,858
-1,200
-0.2% -$62.1K 0.08% 189
2017
Q2
$27.3M Buy
493,058
+152,158
+45% +$8.43M 0.09% 175
2017
Q1
$20.1M Sell
340,900
-3,600
-1% -$212K 0.07% 209
2016
Q4
$21.3M Sell
344,500
-1,466,846
-81% -$90.6M 0.07% 204
2016
Q3
$116M Sell
1,811,346
-124,184
-6% -$7.93M 0.42% 66
2016
Q2
$138M Buy
1,935,530
+171,719
+10% +$12.2M 0.5% 62
2016
Q1
$112M Buy
1,763,811
+192,597
+12% +$12.2M 0.42% 72
2015
Q4
$90.6M Sell
1,571,214
-232,562
-13% -$13.4M 0.34% 81
2015
Q3
$101M Buy
1,803,776
+844,993
+88% +$47.4M 0.42% 69
2015
Q2
$53.4M Sell
958,783
-189,848
-17% -$10.6M 0.2% 136
2015
Q1
$65M Sell
1,148,631
-228,325
-17% -$12.9M 0.23% 115
2014
Q4
$73.4M Sell
1,376,956
-212,048
-13% -$11.3M 0.27% 105
2014
Q3
$80.2M Buy
1,589,004
+78,399
+5% +$3.96M 0.3% 103
2014
Q2
$79.4M Buy
1,510,605
+415,681
+38% +$21.8M 0.3% 99
2014
Q1
$56.7M Sell
1,094,924
-50,598
-4% -$2.62M 0.22% 127
2013
Q4
$57.2M Buy
1,145,522
+69,831
+6% +$3.49M 0.22% 124
2013
Q3
$51.5M Sell
1,075,691
-27,670
-3% -$1.33M 0.21% 131
2013
Q2
$53.5M Buy
+1,103,361
New +$53.5M 0.22% 129