British Columbia Investment Management’s Vail Resorts MTN Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2024
Q2
Sell
-4,520
Closed -$1.01M 770
2024
Q1
$1.01M Buy
4,520
+127
+3% +$28.3K 0.01% 718
2023
Q4
$938K Buy
4,393
+740
+20% +$158K 0.01% 715
2023
Q3
$811K Hold
3,653
0.01% 684
2023
Q2
$920K Buy
3,653
+83
+2% +$20.9K 0.01% 670
2023
Q1
$834K Hold
3,570
0.01% 687
2022
Q4
$851K Sell
3,570
-394
-10% -$93.9K 0.01% 671
2022
Q3
$855K Sell
3,964
-712
-15% -$154K 0.01% 682
2022
Q2
$1.02M Sell
4,676
-1,567
-25% -$342K 0.01% 692
2022
Q1
$1.63M Sell
6,243
-832
-12% -$217K 0.01% 696
2021
Q4
$2.32M Sell
7,075
-376
-5% -$123K 0.01% 661
2021
Q3
$2.49M Hold
7,451
0.01% 639
2021
Q2
$2.36M Buy
7,451
+869
+13% +$275K 0.01% 675
2021
Q1
$1.92M Sell
6,582
-191
-3% -$55.7K 0.01% 672
2020
Q4
$1.89M Sell
6,773
-210
-3% -$58.6K 0.01% 675
2020
Q3
$1.49M Buy
6,983
+532
+8% +$114K 0.01% 671
2020
Q2
$1.18M Buy
6,451
+2,035
+46% +$371K 0.01% 688
2020
Q1
$652K Sell
4,416
-5,057
-53% -$747K 0.01% 670
2019
Q4
$2.27M Sell
9,473
-18,342
-66% -$4.4M 0.02% 641
2019
Q3
$6.33M Buy
27,815
+16,347
+143% +$3.72M 0.06% 335
2019
Q2
$2.56M Buy
11,468
+423
+4% +$94.4K 0.02% 610
2019
Q1
$2.4M Sell
11,045
-2,623
-19% -$570K 0.02% 624
2018
Q4
$2.88M Buy
13,668
+1,223
+10% +$258K 0.03% 580
2018
Q3
$3.42M Sell
12,445
-4,490
-27% -$1.23M 0.04% 487
2018
Q2
$4.64M Sell
16,935
-27,241
-62% -$7.47M 0.04% 467
2018
Q1
$9.79M Buy
44,176
+24,173
+121% +$5.36M 0.07% 310
2017
Q4
$4.25M Buy
20,003
+1,843
+10% +$392K 0.03% 536
2017
Q3
$4.14M Sell
18,160
-712
-4% -$162K 0.03% 516
2017
Q2
$3.83M Buy
+18,872
New +$3.83M 0.03% 530
2015
Q1
Sell
-10,000
Closed -$911K 755
2014
Q4
$911K Buy
10,000
+2,000
+25% +$182K 0.01% 636
2014
Q3
$694K Buy
8,000
+1,412
+21% +$122K 0.01% 642
2014
Q2
$508K Sell
6,588
-281
-4% -$21.7K ﹤0.01% 683
2014
Q1
$479K Sell
6,869
-1,467
-18% -$102K ﹤0.01% 684
2013
Q4
$627K Buy
8,336
+2,000
+32% +$150K 0.01% 653
2013
Q3
$440K Buy
6,336
+373
+6% +$25.9K ﹤0.01% 686
2013
Q2
$367K Buy
+5,963
New +$367K ﹤0.01% 699