Dimensional Fund Advisors
FFG

Dimensional Fund Advisors’s FBL Financial Group FFG Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2021
Q2
Sell
-1,883,782
Closed -$105M 3504
2021
Q1
$105M Sell
1,883,782
-44,540
-2% -$2.49M 0.03% 790
2020
Q4
$101M Sell
1,928,322
-44,604
-2% -$2.34M 0.04% 728
2020
Q3
$95.1M Sell
1,972,926
-28,998
-1% -$1.4M 0.04% 620
2020
Q2
$71.8M Buy
2,001,924
+2,649
+0.1% +$95.1K 0.03% 842
2020
Q1
$93.3M Sell
1,999,275
-1,202
-0.1% -$56.1K 0.05% 473
2019
Q4
$118M Sell
2,000,477
-8,128
-0.4% -$479K 0.04% 599
2019
Q3
$120M Sell
2,008,605
-7,191
-0.4% -$428K 0.05% 535
2019
Q2
$129M Sell
2,015,796
-24,579
-1% -$1.57M 0.05% 489
2019
Q1
$128M Sell
2,040,375
-24,525
-1% -$1.54M 0.05% 467
2018
Q4
$136M Buy
2,064,900
+4,961
+0.2% +$326K 0.06% 327
2018
Q3
$155M Sell
2,059,939
-6,453
-0.3% -$486K 0.06% 372
2018
Q2
$163M Sell
2,066,392
-25,656
-1% -$2.02M 0.06% 323
2018
Q1
$145M Sell
2,092,048
-3,047
-0.1% -$211K 0.06% 375
2017
Q4
$146M Buy
2,095,095
+1,366
+0.1% +$95.1K 0.06% 374
2017
Q3
$156M Sell
2,093,729
-17,297
-0.8% -$1.29M 0.07% 310
2017
Q2
$130M Sell
2,111,026
-2,153
-0.1% -$132K 0.06% 375
2017
Q1
$138M Sell
2,113,179
-63,160
-3% -$4.13M 0.07% 327
2016
Q4
$170M Sell
2,176,339
-84,884
-4% -$6.63M 0.09% 230
2016
Q3
$145M Sell
2,261,223
-25,887
-1% -$1.66M 0.08% 254
2016
Q2
$139M Sell
2,287,110
-38,599
-2% -$2.34M 0.08% 244
2016
Q1
$143M Sell
2,325,709
-16,619
-0.7% -$1.02M 0.09% 221
2015
Q4
$149M Hold
2,342,328
0.09% 188
2015
Q3
$144M Sell
2,342,328
-6,065
-0.3% -$373K 0.09% 186
2015
Q2
$136M Sell
2,348,393
-6,052
-0.3% -$349K 0.08% 239
2015
Q1
$146M Sell
2,354,445
-6,959
-0.3% -$432K 0.09% 209
2014
Q4
$137M Sell
2,361,404
-15,670
-0.7% -$909K 0.09% 214
2014
Q3
$106M Sell
2,377,074
-7,141
-0.3% -$319K 0.08% 276
2014
Q2
$110M Sell
2,384,215
-5,883
-0.2% -$271K 0.08% 273
2014
Q1
$104M Sell
2,390,098
-8,640
-0.4% -$374K 0.08% 264
2013
Q4
$107M Buy
2,398,738
+204
+0% +$9.14K 0.08% 230
2013
Q3
$108M Sell
2,398,534
-17,475
-0.7% -$785K 0.09% 206
2013
Q2
$105M Buy
+2,416,009
New +$105M 0.1% 191