ClariVest Asset Management’s MetLife MET Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2024
Q3
$2.81K Hold
40
﹤0.01% 487
2024
Q2
$2.81K Sell
40
-29
-42% -$2.04K ﹤0.01% 487
2024
Q1
$5.11K Sell
69
-23
-25% -$1.7K ﹤0.01% 463
2023
Q4
$6.09K Buy
92
+1
+1% +$66 ﹤0.01% 437
2023
Q3
$6K Buy
91
+8
+10% +$527 ﹤0.01% 425
2023
Q2
$5K Sell
83
-128,501
-100% -$7.74M ﹤0.01% 434
2023
Q1
$7.45M Sell
128,584
-4,206
-3% -$244K 0.33% 66
2022
Q4
$9.61M Sell
132,790
-3,625
-3% -$262K 0.46% 53
2022
Q3
$8.29M Sell
136,415
-8,200
-6% -$498K 0.4% 58
2022
Q2
$9.08M Sell
144,615
-6,578
-4% -$413K 0.4% 57
2022
Q1
$10.6M Buy
151,193
+6,052
+4% +$425K 0.42% 56
2021
Q4
$9.07M Sell
145,141
-3,843
-3% -$240K 0.28% 70
2021
Q3
$9.2M Sell
148,984
-100
-0.1% -$6.17K 0.3% 75
2021
Q2
$8.92M Sell
149,084
-7,700
-5% -$461K 0.3% 72
2021
Q1
$9.53M Sell
156,784
-17,000
-10% -$1.03M 0.34% 66
2020
Q4
$8.16M Sell
173,784
-26,780
-13% -$1.26M 0.28% 73
2020
Q3
$7.46M Sell
200,564
-63,741
-24% -$2.37M 0.24% 82
2020
Q2
$9.65M Buy
264,305
+33,245
+14% +$1.21M 0.26% 78
2020
Q1
$7.07M Buy
+231,060
New +$7.07M 0.21% 85
2018
Q3
Sell
-4,198
Closed -$183K 765
2018
Q2
$183K Sell
4,198
-239
-5% -$10.4K ﹤0.01% 605
2018
Q1
$203K Sell
4,437
-273
-6% -$12.5K ﹤0.01% 596
2017
Q4
$238K Buy
4,710
+404
+9% +$20.4K ﹤0.01% 569
2017
Q3
$223K Sell
4,306
-714
-14% -$37K 0.01% 472
2017
Q2
$245K Sell
5,020
-102
-2% -$4.98K 0.01% 456
2017
Q1
$241K Sell
5,122
-111
-2% -$5.22K 0.01% 462
2016
Q4
$251K Buy
5,233
+2,085
+66% +$100K 0.01% 471
2016
Q3
$125K Hold
3,148
﹤0.01% 537
2016
Q2
$112K Buy
3,148
+9
+0.3% +$320 ﹤0.01% 515
2016
Q1
$123K Buy
+3,139
New +$123K ﹤0.01% 500
2015
Q1
Sell
-926
Closed -$45K 625
2014
Q4
$45K Sell
926
-869
-48% -$42.2K ﹤0.01% 446
2014
Q3
$86K Hold
1,795
﹤0.01% 445
2014
Q2
$89K Sell
1,795
-841
-32% -$41.7K ﹤0.01% 428
2014
Q1
$124K Buy
2,636
+21
+0.8% +$988 0.01% 392
2013
Q4
$126K Sell
2,615
-5,239
-67% -$252K 0.01% 400
2013
Q3
$328K Sell
7,854
-26
-0.3% -$1.09K 0.02% 325
2013
Q2
$321K Buy
+7,880
New +$321K 0.01% 290