Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$294M Sell
5,157,478
-142,246
-3% -$8.07M 4.74% 3
2025
Q4
$283M Sell
5,299,724
-360,161
-6% -$18.8M 5.12% 3
2025
Q3
$283M Buy
5,659,885
+118,090
+2% +$5.99M 5.45% 3
2025
Q2
$285M Buy
5,541,795
+236,932
+4% +$12M 5.6% 3
2025
Q1
$284M Sell
5,304,863
-362,344
-6% -$19M 5.43% 3
2024
Q4
$271M Buy
5,667,207
+1,046,737
+23% +$48.7M 5.57% 3
2024
Q3
$205M Buy
4,620,470
+79,242
+2% +$3.39M 4.4% 5
2024
Q2
$193M Sell
4,541,228
-683,690
-13% -$28.1M 4.3% 5
2024
Q1
$217M Buy
5,224,918
+255,211
+5% +$9.9M 4.44% 4
2023
Q4
$182M Buy
4,969,707
+609,929
+14% +$21.9M 3.94% 7
2023
Q3
$155M Buy
4,359,778
+592,179
+16% +$20.7M 3.52% 8
2023
Q2
$128M Sell
3,767,599
-41,443
-1% -$1.42M 2.72% 10
2023
Q1
$131M Buy
3,809,042
+64,837
+2% +$2.23M 2.91% 8
2022
Q4
$123M Buy
3,744,205
+582,039
+18% +$19M 2.77% 12
2022
Q3
$94.9M Buy
3,162,166
+341,839
+12% +$10.7M 2.22% 16
2022
Q2
$82.2M Buy
2,820,327
+436,753
+18% +$14M 1.91% 20
2022
Q1
$79.1M Buy
2,383,574
+1,513,574
+174% +$48.9M 1.7% 23
2021
Q4
$25.7M Buy
+870,000
New +$26.1M 0.61% 40
2020
Q2
Sell
-961,286
Closed -$11.2M 48
2020
Q1
$11.2M Sell
961,286
-881,118
-48% -$18.1M 0.33% 38
2019
Q4
$46.9M Sell
1,842,404
-462,424
-20% -$11.8M 0.79% 30
2019
Q3
$64.6M Sell
2,304,828
-12,308
-0.5% -$361K 1.1% 27
2019
Q2
$74.6M Buy
2,317,136
+39,795
+2% +$1.27M 1.31% 25
2019
Q1
$74.9M Buy
2,277,341
+720,804
+46% +$24.2M 1.28% 27
2018
Q4
$47.2M Buy
1,556,537
+249,145
+19% +$8.32M 0.94% 31
2018
Q3
$45.3M Buy
1,307,392
+367,209
+39% +$13.1M 0.83% 33
2018
Q2
$32.1M Buy
+940,183
New +$32.7M 0.59% 41
2016
Q1
Sell
-132,000
Closed -$5.19M 59
2015
Q4
$5.19M Hold
132,000
0.13% 55
2015
Q3
$5.04M Hold
132,000
0.12% 61
2015
Q2
$9.42M Hold
132,000
0.17% 61
2015
Q1
$9.67M Sell
132,000
-122,000
-48% -$9.27M 0.17% 60
2014
Q4
$18.7M Sell
254,000
-275,000
-52% -$17.5M 0.32% 52
2014
Q3
$31.2M Hold
529,000
0.54% 48
2014
Q2
$34.1M Hold
529,000
0.61% 45
2014
Q1
$25.9M Hold
529,000
0.6% 43
2013
Q4
$23.6M Sell
529,000
-50,986
-9% -$1.93M 0.58% 43
2013
Q3
$21.1M Sell
579,986
-398,739
-41% -$14.4M 0.54% 45
2013
Q2
$36M Buy
+978,725
New +$36.4M 0.92% 40

Other funds holding MPLX