IRF
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IBM Retirement Fund’s Equinix EQIX Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q2
Sell
-1,425
Closed -$1.06M 165
2022
Q1
$1.06M Sell
1,425
-63
-4% -$46.7K 0.15% 122
2021
Q4
$1.26M Sell
1,488
-1,036
-41% -$877K 0.16% 117
2021
Q3
$1.99M Buy
2,524
+6
+0.2% +$4.74K 0.16% 114
2021
Q2
$2.02M Sell
2,518
-505
-17% -$405K 0.16% 115
2021
Q1
$2.05M Sell
3,023
-248
-8% -$169K 0.15% 127
2020
Q4
$2.34M Buy
3,271
+411
+14% +$294K 0.16% 119
2020
Q3
$2.17M Buy
2,860
+803
+39% +$610K 0.19% 97
2020
Q2
$1.45M Buy
2,057
+46
+2% +$32.3K 0.19% 103
2020
Q1
$1.26M Buy
2,011
+758
+60% +$473K 0.23% 102
2019
Q4
$731K Sell
1,253
-35
-3% -$20.4K 0.13% 144
2019
Q3
$743K Sell
1,288
-15
-1% -$8.65K 0.14% 139
2019
Q2
$657K Buy
1,303
+35
+3% +$17.6K 0.12% 152
2019
Q1
$575K Buy
1,268
+50
+4% +$22.7K 0.11% 166
2018
Q4
$429K Sell
1,218
-80
-6% -$28.2K 0.1% 188
2018
Q3
$562K Sell
1,298
-222
-15% -$96.1K 0.13% 181
2018
Q2
$653K Sell
1,520
-193
-11% -$82.9K 0.14% 172
2018
Q1
$716K Sell
1,713
-233
-12% -$97.4K 0.13% 178
2017
Q4
$969K Buy
1,946
+5
+0.3% +$2.49K 0.16% 159
2017
Q3
$954K Buy
1,941
+40
+2% +$19.7K 0.18% 150
2017
Q2
$911K Buy
1,901
+1,061
+126% +$508K 0.17% 158
2017
Q1
$449K Sell
840
-5,642
-87% -$3.02M 0.13% 170
2016
Q4
$2.43M Sell
6,482
-27
-0.4% -$10.1K 0.1% 190
2016
Q3
$2.35M Sell
6,509
-2,570
-28% -$926K 0.12% 186
2016
Q2
$3.63M Buy
9,079
+220
+2% +$87.9K 0.13% 165
2016
Q1
$3.01M Sell
8,859
-6,401
-42% -$2.18M 0.11% 199
2015
Q4
$4.62M Buy
15,260
+2,112
+16% +$639K 0.09% 235
2015
Q3
$3.69M Sell
13,148
-737
-5% -$207K 0.08% 265
2015
Q2
$3.53M Buy
13,885
+917
+7% +$233K 0.07% 301
2015
Q1
$3.02M Sell
12,968
-21
-0.2% -$4.89K 0.06% 348
2014
Q4
$2.95M Buy
12,989
+1,012
+8% +$229K 0.06% 350
2014
Q3
$2.58M Sell
11,977
-816
-6% -$175K 0.05% 367
2014
Q2
$2.67M Buy
12,793
+20
+0.2% +$4.18K 0.05% 380
2014
Q1
$2.36M Sell
12,773
-7,025
-35% -$1.3M 0.05% 414
2013
Q4
$3.51M Sell
19,798
-855
-4% -$152K 0.05% 424
2013
Q3
$3.79M Sell
20,653
-2,802
-12% -$515K 0.05% 389
2013
Q2
$4.33M Buy
+23,455
New +$4.33M 0.05% 371