British Columbia Investment Management’s TD Ameritrade Holding Corp AMTD Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2020
Q4
Sell
-46,909
Closed -$1.84M 836
2020
Q3
$1.84M Buy
46,909
+3,591
+8% +$141K 0.02% 624
2020
Q2
$1.58M Buy
43,318
+13,754
+47% +$500K 0.02% 613
2020
Q1
$1.03M Sell
29,564
-35,064
-54% -$1.22M 0.02% 548
2019
Q4
$3.21M Sell
64,628
-135,031
-68% -$6.71M 0.02% 509
2019
Q3
$9.32M Sell
199,659
-7,725
-4% -$361K 0.09% 239
2019
Q2
$10.4M Buy
207,384
+8,055
+4% +$402K 0.09% 225
2019
Q1
$9.96M Buy
199,329
+51,518
+35% +$2.58M 0.09% 222
2018
Q4
$7.24M Sell
147,811
-46,605
-24% -$2.28M 0.06% 304
2018
Q3
$10.3M Buy
194,416
+74,920
+63% +$3.96M 0.11% 215
2018
Q2
$6.55M Sell
119,496
-32,371
-21% -$1.77M 0.06% 384
2018
Q1
$9M Buy
151,867
+17,736
+13% +$1.05M 0.07% 333
2017
Q4
$6.86M Buy
134,131
+26,904
+25% +$1.38M 0.05% 418
2017
Q3
$5.23M Sell
107,227
-4,872
-4% -$238K 0.04% 456
2017
Q2
$4.82M Sell
112,099
-31,927
-22% -$1.37M 0.04% 472
2017
Q1
$5.6M Sell
144,026
-10,323
-7% -$401K 0.04% 451
2016
Q4
$6.73M Sell
154,349
-94,298
-38% -$4.11M 0.06% 373
2016
Q3
$8.76M Sell
248,647
-21,880
-8% -$771K 0.09% 272
2016
Q2
$7.7M Buy
270,527
+93,031
+52% +$2.65M 0.07% 325
2016
Q1
$5.6M Sell
177,496
-16,483
-8% -$520K 0.05% 411
2015
Q4
$6.73M Buy
193,979
+100,541
+108% +$3.49M 0.06% 340
2015
Q3
$2.98M Buy
93,438
+38,193
+69% +$1.22M 0.03% 478
2015
Q2
$2.03M Sell
55,245
-81,108
-59% -$2.99M 0.02% 567
2015
Q1
$5.08M Buy
136,353
+22,942
+20% +$855K 0.05% 409
2014
Q4
$4.06M Sell
113,411
-16,632
-13% -$595K 0.03% 454
2014
Q3
$4.34M Buy
130,043
+24,323
+23% +$812K 0.04% 442
2014
Q2
$3.31M Buy
105,720
+36,678
+53% +$1.15M 0.03% 491
2014
Q1
$2.34M Sell
69,042
-682
-1% -$23.2K 0.02% 518
2013
Q4
$2.14M Sell
69,724
-144
-0.2% -$4.41K 0.02% 538
2013
Q3
$1.83M Buy
69,868
+38,834
+125% +$1.02M 0.02% 560
2013
Q2
$754K Buy
+31,034
New +$754K 0.01% 624