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

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2021
Q2
Sell
-7,615,309
Closed -$430M 5635
2021
Q1
$430M Buy
7,615,309
+144,751
+2% +$7.87M 0.01% 1138
2020
Q4
$327M Sell
7,470,558
-3,248,271
-30% -$125M 0.01% 1229
2020
Q3
$384M Buy
10,718,829
+384,296
+4% +$14.6M 0.01% 903
2020
Q2
$419M Sell
10,334,533
-227,789
-2% -$9.46M 0.02% 833
2020
Q1
$337M Buy
10,562,322
+177,025
+2% +$8.32M 0.02% 820
2019
Q4
$541M Buy
10,385,297
+239,606
+2% +$12.7M 0.02% 748
2019
Q3
$534M Buy
10,145,691
+239,306
+2% +$12.2M 0.02% 703
2019
Q2
$536M Buy
9,906,385
+66,304
+0.7% +$3.36M 0.02% 703
2019
Q1
$468M Sell
9,840,081
-127,672
-1% -$6.17M 0.02% 773
2018
Q4
$434M Buy
9,967,753
+150,819
+2% +$7.42M 0.02% 732
2018
Q3
$603M Sell
9,816,934
-13,538
-0.1% -$797K 0.03% 652
2018
Q2
$511M Buy
9,830,472
+12,831
+0.1% +$686K 0.02% 718
2018
Q1
$491M Sell
9,817,641
-132,923
-1% -$6.62M 0.02% 717
2017
Q4
$464M Buy
9,950,564
+274,312
+3% +$12.5M 0.02% 753
2017
Q3
$377M Buy
9,676,252
+309,885
+3% +$11.7M 0.02% 847
2017
Q2
$325M Buy
9,366,367
+576,951
+7% +$21M 0.02% 929
2017
Q1
$319M Buy
8,789,416
+8,314,071
+1,749% +$300M 0.02% 920
2016
Q4
$17.2M Sell
475,345
-100,063
-17% -$3.37M 0.02% 595
2016
Q3
$18.1M Sell
575,408
-109,517
-16% -$3.45M 0.03% 574
2016
Q2
$21.2M Sell
684,925
-90,555
-12% -$2.83M 0.03% 523
2016
Q1
$25.6M Buy
775,480
+9,366
+1% +$289K 0.04% 431
2015
Q4
$21.5M Buy
766,114
+325,221
+74% +$9.25M 0.03% 505
2015
Q3
$12.3M Buy
440,893
+145,232
+49% +$4.29M 0.02% 591
2015
Q2
$9.11M Sell
295,661
-48,424
-14% -$1.51M 0.01% 690
2015
Q1
$10.8M Buy
344,085
+10,557
+3% +$333K 0.02% 665
2014
Q4
$10.8M Buy
333,528
+20,861
+7% +$662K 0.02% 661
2014
Q3
$9.8M Buy
312,667
+147
+0% +$4.94K 0.01% 687
2014
Q2
$10.9M Buy
312,520
+9,112
+3% +$319K 0.02% 666
2014
Q1
$10.9M Buy
303,408
+7,547
+3% +$249K 0.02% 659
2013
Q4
$8.9M Buy
295,861
+7,636
+3% +$226K 0.01% 689
2013
Q3
$9.05M Buy
288,225
+901
+0.3% +$28.1K 0.02% 625
2013
Q2
$7.75M Buy
+287,324
New +$7.13M 0.02% 647