Hartford Investment Management Co (HIMCO)’s T-Mobile US TMUS Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$6.87M Sell
28,834
-426
-1% -$101K 0.22% 90
2025
Q1
$7.8M Sell
29,260
-935
-3% -$249K 0.27% 76
2024
Q4
$6.66M Sell
30,195
-647
-2% -$143K 0.22% 85
2024
Q3
$6.36M Sell
30,842
-2,240
-7% -$462K 0.21% 97
2024
Q2
$5.83M Sell
33,082
-721
-2% -$127K 0.2% 97
2024
Q1
$5.52M Sell
33,803
-563
-2% -$91.9K 0.19% 105
2023
Q4
$5.51M Sell
34,366
-1,145
-3% -$184K 0.21% 103
2023
Q3
$4.97M Sell
35,511
-5,095
-13% -$714K 0.2% 109
2023
Q2
$5.64M Sell
40,606
-9,740
-19% -$1.35M 0.21% 100
2023
Q1
$7.29M Buy
50,346
+5,756
+13% +$834K 0.25% 92
2022
Q4
$6.24M Sell
44,590
-33,942
-43% -$4.75M 0.19% 107
2022
Q3
$10.5M Buy
78,532
+18,282
+30% +$2.45M 0.34% 61
2022
Q2
$8.11M Buy
60,250
+4,775
+9% +$642K 0.25% 87
2022
Q1
$7.12M Sell
55,475
-4,030
-7% -$517K 0.19% 113
2021
Q4
$6.9M Buy
59,505
+4,845
+9% +$562K 0.16% 129
2021
Q3
$6.98M Sell
54,660
-7,046
-11% -$900K 0.19% 110
2021
Q2
$8.94M Sell
61,706
-4,212
-6% -$610K 0.22% 95
2021
Q1
$8.26M Sell
65,918
-2,166
-3% -$271K 0.22% 102
2020
Q4
$9.18M Buy
68,084
+7,311
+12% +$986K 0.25% 90
2020
Q3
$6.95M Sell
60,773
-1,010
-2% -$116K 0.24% 94
2020
Q2
$6.44M Buy
61,783
+27,147
+78% +$2.83M 0.23% 97
2020
Q1
$2.91M Buy
34,636
+1,257
+4% +$105K 0.1% 206
2019
Q4
$2.62M Sell
33,379
-352
-1% -$27.6K 0.07% 282
2019
Q3
$2.66M Buy
+33,731
New +$2.66M 0.07% 270
2016
Q4
Sell
-4,592
Closed -$215K 651
2016
Q3
$215K Sell
4,592
-338
-7% -$15.8K ﹤0.01% 574
2016
Q2
$213K Buy
+4,930
New +$213K ﹤0.01% 581
2015
Q4
Sell
-5,427
Closed -$216K 638
2015
Q3
$216K Hold
5,427
﹤0.01% 577
2015
Q2
$210K Buy
+5,427
New +$210K ﹤0.01% 602
2014
Q4
Sell
-7,650
Closed -$221K 719
2014
Q3
$221K Sell
7,650
-3,900
-34% -$113K ﹤0.01% 685
2014
Q2
$388K Sell
11,550
-1,230
-10% -$41.3K 0.01% 612
2014
Q1
$422K Sell
12,780
-530
-4% -$17.5K 0.01% 616
2013
Q4
$448K Buy
13,310
+3,040
+30% +$102K 0.01% 615
2013
Q3
$267K Sell
10,270
-1,040
-9% -$27K 0.01% 639
2013
Q2
$281K Buy
+11,310
New +$281K 0.01% 631