Franklin Resources’s Brixmor Property Group BRX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$317M Buy
12,186,177
+1,115,148
+10% +$29M 0.08% 236
2025
Q1
$294M Buy
11,071,029
+382,959
+4% +$10.2M 0.08% 236
2024
Q4
$298M Buy
10,688,070
+21,719
+0.2% +$605K 0.08% 236
2024
Q3
$290M Sell
10,666,351
-2,794,921
-21% -$75.9M 0.08% 234
2024
Q2
$311M Buy
13,461,272
+177,488
+1% +$4.1M 0.1% 214
2024
Q1
$312M Buy
13,283,784
+173,382
+1% +$4.07M 0.1% 221
2023
Q4
$305M Sell
13,110,402
-118,525
-0.9% -$2.76M 0.14% 177
2023
Q3
$275M Sell
13,228,927
-31,331
-0.2% -$651K 0.14% 179
2023
Q2
$292M Buy
13,260,258
+993,415
+8% +$21.9M 0.14% 184
2023
Q1
$264M Buy
12,266,843
+1,601,592
+15% +$34.5M 0.13% 190
2022
Q4
$242M Buy
10,665,251
+6,822,358
+178% +$155M 0.13% 199
2022
Q3
$71M Sell
3,842,893
-227,215
-6% -$4.2M 0.04% 445
2022
Q2
$82.3M Sell
4,070,108
-99,208
-2% -$2M 0.04% 427
2022
Q1
$108M Sell
4,169,316
-398,016
-9% -$10.3M 0.04% 415
2021
Q4
$116M Sell
4,567,332
-280,573
-6% -$7.13M 0.04% 430
2021
Q3
$107M Sell
4,847,905
-1,805,159
-27% -$39.9M 0.04% 454
2021
Q2
$152M Sell
6,653,064
-987,867
-13% -$22.6M 0.06% 361
2021
Q1
$155M Sell
7,640,931
-1,852,797
-20% -$37.5M 0.06% 327
2020
Q4
$157M Sell
9,493,728
-222,656
-2% -$3.68M 0.07% 308
2020
Q3
$114M Buy
9,716,384
+29,300
+0.3% +$343K 0.06% 344
2020
Q2
$114M Buy
9,687,084
+1,243,496
+15% +$14.7M 0.06% 336
2020
Q1
$80.2M Buy
8,443,588
+1,779,469
+27% +$16.9M 0.05% 345
2019
Q4
$144M Sell
6,664,119
-42,015
-0.6% -$908K 0.08% 293
2019
Q3
$136M Buy
6,706,134
+1,756,667
+35% +$35.6M 0.07% 290
2019
Q2
$88.5M Buy
4,949,467
+4,284,267
+644% +$76.6M 0.05% 411
2019
Q1
$12.2M Buy
665,200
+310,000
+87% +$5.69M 0.01% 834
2018
Q4
$5.22M Sell
355,200
-14,900
-4% -$219K ﹤0.01% 988
2018
Q3
$6.48M Buy
+370,100
New +$6.48M ﹤0.01% 1007
2016
Q1
Sell
-444,400
Closed -$11.5M 1517
2015
Q4
$11.5M Sell
444,400
-10,200
-2% -$263K 0.01% 979
2015
Q3
$10.7M Buy
454,600
+13,100
+3% +$308K 0.01% 1003
2015
Q2
$10.2M Buy
+441,500
New +$10.2M ﹤0.01% 1037
2014
Q1
Sell
-96,700
Closed -$1.97M 1524
2013
Q4
$1.97M Buy
+96,700
New +$1.97M ﹤0.01% 1269