First Manhattan
BPY

First Manhattan’s Brookfield Property Partners L.P. Limited Partnership Units BPY Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2021
Q3
Sell
-16,238
Closed -$307K 1745
2021
Q2
$307K Sell
16,238
-1,302,802
-99% -$24.6M ﹤0.01% 654
2021
Q1
$23.5M Sell
1,319,040
-147,316
-10% -$2.62M 0.1% 99
2020
Q4
$21.2M Sell
1,466,356
-28,829
-2% -$417K 0.1% 100
2020
Q3
$17.9M Sell
1,495,185
-82,859
-5% -$994K 0.09% 102
2020
Q2
$15.6M Sell
1,578,044
-721,196
-31% -$7.12M 0.09% 108
2020
Q1
$18.4M Buy
2,299,240
+126,193
+6% +$1.01M 0.12% 94
2019
Q4
$39.8M Sell
2,173,047
-10,153
-0.5% -$186K 0.2% 75
2019
Q3
$44.3M Sell
2,183,200
-13,327
-0.6% -$271K 0.24% 67
2019
Q2
$41.6M Buy
2,196,527
+100,478
+5% +$1.9M 0.23% 69
2019
Q1
$43.1M Sell
2,096,049
-43,667
-2% -$899K 0.25% 62
2018
Q4
$34.5M Buy
2,139,716
+82,687
+4% +$1.33M 0.21% 70
2018
Q3
$43M Buy
2,057,029
+1,839
+0.1% +$38.4K 0.23% 71
2018
Q2
$39M Buy
2,055,190
+19,676
+1% +$373K 0.22% 78
2018
Q1
$39M Buy
2,035,514
+216,733
+12% +$4.16M 0.22% 80
2017
Q4
$40.4M Buy
1,818,781
+435,061
+31% +$9.67M 0.22% 77
2017
Q3
$32.1M Buy
1,383,720
+95,982
+7% +$2.23M 0.18% 97
2017
Q2
$30.4M Buy
1,287,738
+285,618
+29% +$6.75M 0.18% 98
2017
Q1
$22.3M Buy
1,002,120
+101,859
+11% +$2.27M 0.13% 115
2016
Q4
$19.7M Buy
900,261
+39,519
+5% +$864K 0.12% 120
2016
Q3
$19.6M Sell
860,742
-24,777
-3% -$566K 0.12% 125
2016
Q2
$19.8M Buy
885,519
+19,932
+2% +$446K 0.12% 122
2016
Q1
$20.1M Buy
865,587
+45,191
+6% +$1.05M 0.12% 115
2015
Q4
$19.1M Buy
820,396
+64,130
+8% +$1.49M 0.12% 117
2015
Q3
$16.2M Buy
756,266
+36,905
+5% +$792K 0.1% 126
2015
Q2
$15.9M Sell
719,361
-6,173
-0.9% -$136K 0.09% 135
2015
Q1
$17.6M Buy
725,534
+24,889
+4% +$604K 0.1% 130
2014
Q4
$16M Buy
700,645
+12,163
+2% +$278K 0.09% 143
2014
Q3
$14.5M Sell
688,482
-3,394
-0.5% -$71.5K 0.08% 146
2014
Q2
$14.4M Buy
691,876
+242,075
+54% +$5.05M 0.09% 146
2014
Q1
$8.41M Sell
449,801
-25,653
-5% -$480K 0.06% 186
2013
Q4
$9.48M Buy
475,454
+126,802
+36% +$2.53M 0.06% 175
2013
Q3
$6.76M Buy
348,652
+5,761
+2% +$112K 0.05% 192
2013
Q2
$7.31M Buy
+342,891
New +$7.31M 0.05% 186