IBM Retirement Fund’s Boston Properties BXP Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q2
Sell
-2,475
Closed -$319K 71
2022
Q1
$319K Sell
2,475
-124
-5% -$16K 0.04% 373
2021
Q4
$299K Sell
2,599
-1,828
-41% -$210K 0.04% 430
2021
Q3
$480K Buy
4,427
+37
+0.8% +$4.01K 0.04% 436
2021
Q2
$503K Sell
4,390
-883
-17% -$101K 0.04% 419
2021
Q1
$534K Sell
5,273
-485
-8% -$49.1K 0.04% 430
2020
Q4
$544K Buy
5,758
+704
+14% +$66.5K 0.04% 420
2020
Q3
$406K Buy
5,054
+1,419
+39% +$114K 0.04% 419
2020
Q2
$329K Sell
3,635
-30
-0.8% -$2.72K 0.04% 364
2020
Q1
$338K Buy
3,665
+1,411
+63% +$130K 0.06% 306
2019
Q4
$311K Sell
2,254
-120
-5% -$16.6K 0.06% 303
2019
Q3
$308K Sell
2,374
-28
-1% -$3.63K 0.06% 297
2019
Q2
$310K Buy
2,402
+22
+0.9% +$2.84K 0.06% 306
2019
Q1
$319K Buy
2,380
+62
+3% +$8.31K 0.06% 279
2018
Q4
$261K Sell
2,318
-204
-8% -$23K 0.06% 289
2018
Q3
$310K Sell
2,522
-431
-15% -$53K 0.07% 307
2018
Q2
$370K Sell
2,953
-446
-13% -$55.9K 0.08% 292
2018
Q1
$419K Sell
3,399
-384
-10% -$47.3K 0.08% 290
2017
Q4
$541K Sell
3,783
-144
-4% -$20.6K 0.09% 260
2017
Q3
$533K Buy
3,927
+151
+4% +$20.5K 0.1% 260
2017
Q2
$519K Buy
3,776
+2,066
+121% +$284K 0.1% 259
2017
Q1
$302K Sell
1,710
-12,623
-88% -$2.23M 0.09% 240
2016
Q4
$1.89M Sell
14,333
-48
-0.3% -$6.34K 0.08% 239
2016
Q3
$1.96M Sell
14,381
-5,637
-28% -$768K 0.1% 227
2016
Q2
$2.72M Buy
20,018
+18
+0.1% +$2.45K 0.1% 231
2016
Q1
$2.61M Sell
20,000
-17,247
-46% -$2.25M 0.1% 224
2015
Q4
$4.75M Buy
37,247
+1,799
+5% +$229K 0.09% 228
2015
Q3
$4.31M Sell
35,448
-2,028
-5% -$246K 0.09% 227
2015
Q2
$4.54M Sell
37,476
-218
-0.6% -$26.4K 0.09% 246
2015
Q1
$5.3M Sell
37,694
-31,077
-45% -$4.37M 0.1% 224
2014
Q4
$7.2M Buy
68,771
+32,741
+91% +$3.43M 0.14% 164
2014
Q3
$4.22M Sell
36,030
-3,002
-8% -$352K 0.08% 245
2014
Q2
$4.59M Sell
39,032
-220
-0.6% -$25.8K 0.09% 238
2014
Q1
$4.49M Sell
39,252
-21,854
-36% -$2.5M 0.09% 238
2013
Q4
$6.13M Sell
61,106
-1,913
-3% -$192K 0.08% 270
2013
Q3
$6.74M Sell
63,019
-8,963
-12% -$958K 0.09% 228
2013
Q2
$7.59M Buy
+71,982
New +$7.59M 0.09% 226