IRF
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IBM Retirement Fund’s American Tower AMT Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q2
Sell
-7,201
Closed -$1.81M 33
2022
Q1
$1.81M Sell
7,201
-313
-4% -$78.6K 0.25% 74
2021
Q4
$2.2M Sell
7,514
-5,229
-41% -$1.53M 0.27% 64
2021
Q3
$3.38M Buy
12,743
+27
+0.2% +$7.17K 0.26% 71
2021
Q2
$3.44M Sell
12,716
-2,274
-15% -$614K 0.27% 69
2021
Q1
$3.58M Sell
14,990
-1,400
-9% -$335K 0.25% 73
2020
Q4
$3.68M Buy
16,390
+1,353
+9% +$304K 0.25% 68
2020
Q3
$3.64M Buy
15,037
+4,032
+37% +$975K 0.31% 60
2020
Q2
$2.85M Sell
11,005
-74
-0.7% -$19.1K 0.37% 49
2020
Q1
$2.41M Buy
11,079
+3,927
+55% +$855K 0.44% 53
2019
Q4
$1.64M Sell
7,152
-279
-4% -$64.1K 0.29% 63
2019
Q3
$1.64M Sell
7,431
-79
-1% -$17.5K 0.31% 60
2019
Q2
$1.54M Buy
7,510
+136
+2% +$27.8K 0.29% 63
2019
Q1
$1.45M Buy
7,374
+38
+0.5% +$7.49K 0.29% 63
2018
Q4
$1.16M Sell
7,336
-535
-7% -$84.6K 0.26% 73
2018
Q3
$1.14M Sell
7,871
-1,232
-14% -$179K 0.26% 91
2018
Q2
$1.31M Sell
9,103
-895
-9% -$129K 0.27% 79
2018
Q1
$1.45M Sell
9,998
-437
-4% -$63.5K 0.27% 84
2017
Q4
$1.63M Sell
10,435
-96
-0.9% -$15K 0.28% 90
2017
Q3
$1.59M Buy
10,531
+178
+2% +$26.8K 0.29% 86
2017
Q2
$1.53M Buy
10,353
+5,645
+120% +$834K 0.28% 89
2017
Q1
$763K Sell
4,708
-34,905
-88% -$5.66M 0.22% 98
2016
Q4
$4.4M Sell
39,613
-171
-0.4% -$19K 0.19% 110
2016
Q3
$4.51M Sell
39,784
-15,565
-28% -$1.76M 0.23% 89
2016
Q2
$6.48M Buy
55,349
+123
+0.2% +$14.4K 0.23% 94
2016
Q1
$5.81M Sell
55,226
-47,639
-46% -$5.01M 0.22% 103
2015
Q4
$9.97M Sell
102,865
-187
-0.2% -$18.1K 0.19% 114
2015
Q3
$9.24M Sell
103,052
-290
-0.3% -$26K 0.2% 116
2015
Q2
$9.64M Buy
103,342
+5,586
+6% +$521K 0.18% 121
2015
Q1
$9.2M Buy
97,756
+197
+0.2% +$18.5K 0.17% 124
2014
Q4
$9.64M Sell
97,559
-560
-0.6% -$55.4K 0.18% 120
2014
Q3
$9.19M Sell
98,119
-2,806
-3% -$263K 0.18% 121
2014
Q2
$9.03M Sell
100,925
-1,305
-1% -$117K 0.17% 127
2014
Q1
$8.35M Sell
102,230
-56,629
-36% -$4.63M 0.17% 133
2013
Q4
$12.7M Sell
158,859
-5,292
-3% -$422K 0.17% 137
2013
Q3
$12.2M Sell
164,151
-23,442
-12% -$1.74M 0.17% 131
2013
Q2
$13.7M Buy
+187,593
New +$13.7M 0.17% 127