Franklin Resources’s Selective Insurance SIGI Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$30.1M Buy
347,933
+340,979
+4,903% +$29.5M 0.01% 798
2025
Q1
$637K Buy
6,954
+256
+4% +$23.4K ﹤0.01% 2148
2024
Q4
$626K Buy
6,698
+402
+6% +$37.6K ﹤0.01% 2181
2024
Q3
$603K Buy
6,296
+1,747
+38% +$167K ﹤0.01% 2187
2024
Q2
$427K Buy
4,549
+2,382
+110% +$224K ﹤0.01% 2295
2024
Q1
$237K Buy
2,167
+16
+0.7% +$1.75K ﹤0.01% 2529
2023
Q4
$214K Buy
+2,151
New +$214K ﹤0.01% 2314
2023
Q3
Sell
-237,519
Closed -$22.8M 2760
2023
Q2
$22.8M Sell
237,519
-81,912
-26% -$7.86M 0.01% 725
2023
Q1
$30.5M Sell
319,431
-1,839
-0.6% -$175K 0.02% 664
2022
Q4
$28.5M Sell
321,270
-206,880
-39% -$18.3M 0.01% 682
2022
Q3
$43M Sell
528,150
-524,112
-50% -$42.7M 0.02% 568
2022
Q2
$91.5M Sell
1,052,262
-273,354
-21% -$23.8M 0.05% 401
2022
Q1
$118M Sell
1,325,616
-44,499
-3% -$3.98M 0.05% 397
2021
Q4
$112M Buy
1,370,115
+8,839
+0.6% +$724K 0.04% 437
2021
Q3
$103M Sell
1,361,276
-190,281
-12% -$14.4M 0.04% 467
2021
Q2
$126M Buy
1,551,557
+674,000
+77% +$54.7M 0.05% 406
2021
Q1
$63.7M Sell
877,557
-142,355
-14% -$10.3M 0.03% 547
2020
Q4
$68.3M Buy
1,019,912
+142,479
+16% +$9.54M 0.03% 511
2020
Q3
$45.2M Buy
877,433
+1,691
+0.2% +$87.1K 0.02% 576
2020
Q2
$49.6M Buy
875,742
+30,462
+4% +$1.72M 0.03% 530
2020
Q1
$42M Buy
845,280
+194,480
+30% +$9.67M 0.03% 508
2019
Q4
$42.4M Buy
+650,800
New +$42.4M 0.02% 578
2016
Q4
Sell
-267,400
Closed -$10.7M 1509
2016
Q3
$10.7M Sell
267,400
-41,600
-13% -$1.66M 0.01% 964
2016
Q2
$11.8M Hold
309,000
0.01% 928
2016
Q1
$11.3M Hold
309,000
0.01% 950
2015
Q4
$10.4M Sell
309,000
-156,000
-34% -$5.24M 0.01% 994
2015
Q3
$14.4M Hold
465,000
0.01% 929
2015
Q2
$13M Sell
465,000
-196,000
-30% -$5.5M 0.01% 985
2015
Q1
$19.2M Sell
661,000
-318,000
-32% -$9.24M 0.01% 905
2014
Q4
$26.6M Sell
979,000
-222,000
-18% -$6.03M 0.01% 797
2014
Q3
$26.6M Sell
1,201,000
-84,000
-7% -$1.86M 0.01% 787
2014
Q2
$31.8M Sell
1,285,000
-32,000
-2% -$791K 0.01% 745
2014
Q1
$30.7M Sell
1,317,000
-18,000
-1% -$420K 0.01% 739
2013
Q4
$36.1M Sell
1,335,000
-55,000
-4% -$1.49M 0.02% 652
2013
Q3
$34.1M Sell
1,390,000
-1,400
-0.1% -$34.3K 0.02% 660
2013
Q2
$32M Buy
+1,391,400
New +$32M 0.02% 643