Ariel Investments’s MIND Technology MIND Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q4
Sell
-82,786
Closed -$1.56M 105
2021
Q3
$1.56M Sell
82,786
-45,780
-36% -$860K 0.01% 105
2021
Q2
$2.49M Sell
128,566
-31,143
-19% -$604K 0.02% 100
2021
Q1
$3.59M Sell
159,709
-103,422
-39% -$2.33M 0.04% 100
2020
Q4
$5.89M Buy
263,131
+22,021
+9% +$493K 0.07% 101
2020
Q3
$5.02M Buy
241,110
+33
+0% +$686 0.07% 102
2020
Q2
$3.86M Sell
241,077
-49,788
-17% -$797K 0.06% 114
2020
Q1
$3.64M Buy
290,865
+3,634
+1% +$45.4K 0.06% 112
2019
Q4
$8.24M Buy
287,231
+3,977
+1% +$114K 0.1% 99
2019
Q3
$9.21M Sell
283,254
-14,115
-5% -$459K 0.12% 98
2019
Q2
$11.7M Sell
297,369
-1,722
-0.6% -$68K 0.15% 98
2019
Q1
$11.8M Buy
299,091
+2,961
+1% +$116K 0.15% 103
2018
Q4
$7.58M Sell
296,130
-1,265
-0.4% -$32.4K 0.11% 119
2018
Q3
$12.3M Buy
297,395
+1,908
+0.6% +$79.2K 0.14% 103
2018
Q2
$11.9M Buy
295,487
+1,194
+0.4% +$48K 0.13% 104
2018
Q1
$9.54M Sell
294,293
-5,546
-2% -$180K 0.11% 115
2017
Q4
$9.51M Buy
299,839
+931
+0.3% +$29.5K 0.11% 118
2017
Q3
$10.4M Buy
298,908
+20,867
+8% +$728K 0.12% 110
2017
Q2
$10.8M Sell
278,041
-1,412
-0.5% -$54.8K 0.13% 107
2017
Q1
$13.7M Sell
279,453
-13,958
-5% -$684K 0.16% 101
2016
Q4
$12.2M Sell
293,411
-4,119
-1% -$171K 0.14% 106
2016
Q3
$9.93M Sell
297,530
-3,100
-1% -$103K 0.12% 116
2016
Q2
$11.3M Buy
300,630
+3,089
+1% +$116K 0.14% 110
2016
Q1
$9.11M Buy
297,541
+8,622
+3% +$264K 0.11% 114
2015
Q4
$8.7M Sell
288,919
-9,246
-3% -$278K 0.1% 117
2015
Q3
$11.3M Buy
298,165
+868
+0.3% +$32.8K 0.14% 110
2015
Q2
$12.5M Sell
297,297
-2,934
-1% -$123K 0.14% 110
2015
Q1
$13.8M Buy
300,231
+5,632
+2% +$259K 0.15% 109
2014
Q4
$17.5M Sell
294,599
-14,822
-5% -$879K 0.2% 94
2014
Q3
$34.2M Buy
309,421
+1,769
+0.6% +$195K 0.44% 61
2014
Q2
$43M Sell
307,652
-3,623
-1% -$506K 0.53% 58
2014
Q1
$43.4M Sell
311,275
-4,271
-1% -$595K 0.53% 56
2013
Q4
$55.9M Buy
315,546
+28,020
+10% +$4.96M 0.69% 50
2013
Q3
$44M Buy
287,526
+8,579
+3% +$1.31M 0.64% 54
2013
Q2
$46.8M Buy
+278,947
New +$46.8M 0.77% 50