BC
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Brookfield Corp’s Kinder Morgan KMI Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$75M Buy
2,551,930
+474,813
+23% +$14M 0.09% 26
2025
Q1
$59.3M Sell
2,077,117
-510,488
-20% -$14.6M 0.08% 34
2024
Q4
$70.9M Buy
2,587,605
+2,065,719
+396% +$56.6M 0.43% 30
2024
Q3
$11.5M Buy
521,886
+217,647
+72% +$4.81M 0.07% 61
2024
Q2
$6.05M Buy
304,239
+2,275
+0.8% +$45.2K 0.04% 77
2024
Q1
$5.54M Sell
301,964
-2,545,815
-89% -$46.7M 0.03% 80
2023
Q4
$50.2M Sell
2,847,779
-719,948
-20% -$12.7M 0.29% 41
2023
Q3
$59.2M Buy
3,567,727
+3,254,115
+1,038% +$54M 0.37% 38
2023
Q2
$5.4M Buy
313,612
+521
+0.2% +$8.97K 0.02% 251
2023
Q1
$5.48M Sell
313,091
-3,346
-1% -$58.6K 0.02% 266
2022
Q4
$5.72M Buy
316,437
+7,552
+2% +$137K 0.02% 231
2022
Q3
$5.14M Sell
308,885
-3,622,287
-92% -$60.3M 0.02% 269
2022
Q2
$65.9M Sell
3,931,172
-715,638
-15% -$12M 0.28% 56
2022
Q1
$87.9M Buy
4,646,810
+22,590
+0.5% +$427K 0.33% 51
2021
Q4
$73.3M Sell
4,624,220
-1,932,101
-29% -$30.6M 0.28% 52
2021
Q3
$110M Sell
6,556,321
-154,116
-2% -$2.58M 0.44% 40
2021
Q2
$122M Sell
6,710,437
-5,640,832
-46% -$103M 0.57% 40
2021
Q1
$206M Sell
12,351,269
-889,018
-7% -$14.8M 0.99% 19
2020
Q4
$181M Buy
13,240,287
+8,848,364
+201% +$121M 0.79% 23
2020
Q3
$54.2M Sell
4,391,923
-2,433,843
-36% -$30M 0.3% 57
2020
Q2
$104M Buy
+6,825,766
New +$104M 0.59% 36
2019
Q3
Sell
-13,289,623
Closed -$277M 88
2019
Q2
$277M Sell
13,289,623
-598,549
-4% -$12.5M 1.19% 15
2019
Q1
$278M Sell
13,888,172
-725,335
-5% -$14.5M 1.17% 15
2018
Q4
$225M Buy
14,613,507
+99,258
+0.7% +$1.53M 1.12% 17
2018
Q3
$257M Buy
14,514,249
+5,140,790
+55% +$91.1M 1.03% 16
2018
Q2
$166M Buy
+9,373,459
New +$166M 0.53% 34
2018
Q1
Sell
-12,113,750
Closed -$219M 47
2017
Q4
$219M Buy
+12,113,750
New +$219M 0.99% 12
2017
Q3
Sell
-10,843,859
Closed -$208M 48
2017
Q2
$208M Buy
10,843,859
+447,389
+4% +$8.57M 1.07% 13
2017
Q1
$226M Buy
10,396,470
+976,320
+10% +$21.2M 1.3% 10
2016
Q4
$195M Sell
9,420,150
-1,049,600
-10% -$21.7M 1.1% 10
2016
Q3
$242M Sell
10,469,750
-1,811,000
-15% -$41.9M 1.32% 10
2016
Q2
$230M Buy
12,280,750
+7,635,500
+164% +$143M 1.13% 12
2016
Q1
$83M Buy
4,645,250
+2,510,767
+118% +$44.8M 0.42% 40
2015
Q4
$31.8M Sell
2,134,483
-2,577,155
-55% -$38.5M 0.18% 58
2015
Q3
$130M Buy
4,711,638
+160,519
+4% +$4.44M 0.73% 26
2015
Q2
$175M Buy
4,551,119
+37,700
+0.8% +$1.45M 1.02% 19
2015
Q1
$190M Buy
4,513,419
+825,419
+22% +$34.7M 0.94% 19
2014
Q4
$156M Buy
3,688,000
+3,580,200
+3,321% +$151M 0.75% 20
2014
Q3
$4.13M Buy
+107,800
New +$4.13M 0.02% 103
2014
Q2
Sell
-49,000
Closed -$1.59M 167
2014
Q1
$1.59M Sell
49,000
-8,800
-15% -$286K 0.01% 136
2013
Q4
$2.08M Hold
57,800
0.01% 122
2013
Q3
$2.06M Buy
57,800
+52,020
+900% +$1.85M 0.01% 126
2013
Q2
$2.21M Buy
+5,780
New +$2.21M 0.01% 123