FDx Advisors’s Globe Life GL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2024
Q1
Sell
-2,246
Closed -$273K 471
2023
Q4
$273K Sell
2,246
-300
-12% -$36.5K 0.02% 546
2023
Q3
$277K Sell
2,546
-162
-6% -$17.6K 0.02% 501
2023
Q2
$297K Sell
2,708
-280
-9% -$30.7K 0.02% 592
2023
Q1
$360K Hold
2,988
0.02% 501
2022
Q4
$360K Sell
2,988
-690
-19% -$83.1K 0.02% 501
2022
Q3
$367K Sell
3,678
-650
-15% -$64.9K 0.02% 485
2022
Q2
$422K Buy
+4,328
New +$422K 0.02% 527
2022
Q1
Sell
-4,374
Closed -$410K 871
2021
Q4
$410K Buy
4,374
+535
+14% +$50.1K 0.01% 596
2021
Q3
$342K Buy
3,839
+438
+13% +$39K 0.01% 617
2021
Q2
$324K Sell
3,401
-540
-14% -$51.4K 0.01% 635
2021
Q1
$381K Sell
3,941
-25
-0.6% -$2.42K 0.01% 550
2020
Q4
$377K Buy
3,966
+74
+2% +$7.03K 0.02% 508
2020
Q3
$311K Buy
3,892
+148
+4% +$11.8K 0.01% 482
2020
Q2
$278K Buy
+3,744
New +$278K 0.01% 458
2020
Q1
Sell
-4,329
Closed -$456K 563
2019
Q4
$456K Sell
4,329
-95
-2% -$10K 0.03% 377
2019
Q3
$424K Sell
4,424
-322
-7% -$30.9K 0.03% 384
2019
Q2
$425K Sell
4,746
-61
-1% -$5.46K 0.02% 522
2019
Q1
$394K Buy
4,807
+1,365
+40% +$112K 0.02% 512
2018
Q4
$257K Buy
+3,442
New +$257K 0.02% 452
2018
Q1
Sell
-3,900
Closed -$354K 1201
2017
Q4
$354K Sell
3,900
-861
-18% -$78.2K 0.01% 946
2017
Q3
$381K Sell
4,761
-1,028
-18% -$82.3K 0.01% 938
2017
Q2
$443K Sell
5,789
-294
-5% -$22.5K 0.01% 818
2017
Q1
$469K Sell
6,083
-281
-4% -$21.7K 0.01% 799
2016
Q4
$469K Buy
6,364
+100
+2% +$7.37K 0.01% 798
2016
Q3
$400K Sell
6,264
-794
-11% -$50.7K 0.02% 698
2016
Q2
$436K Sell
7,058
-954
-12% -$58.9K 0.02% 642
2016
Q1
$434K Buy
8,012
+1,154
+17% +$62.5K 0.02% 629
2015
Q4
$392K Buy
+6,858
New +$392K 0.02% 633
2014
Q4
Sell
-7,429
Closed -$389K 917
2014
Q3
$389K Sell
7,429
-847
-10% -$44.4K 0.03% 683
2014
Q2
$433K Buy
8,276
+1,293
+19% +$67.7K 0.03% 633
2014
Q1
$366K Buy
6,983
+533
+8% +$27.9K 0.03% 543
2013
Q4
$336K Sell
6,450
-7,106
-52% -$370K 0.03% 485
2013
Q3
$654K Buy
13,556
+7,056
+109% +$340K 0.08% 239
2013
Q2
$282K Buy
+6,500
New +$282K 0.04% 398