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IBM Retirement Fund’s LyondellBasell Industries LYB Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q2
Sell
-4,187
Closed -$431K 279
2022
Q1
$431K Sell
4,187
-192
-4% -$19.8K 0.06% 293
2021
Q4
$404K Sell
4,379
-3,090
-41% -$285K 0.05% 342
2021
Q3
$701K Buy
7,469
+39
+0.5% +$3.66K 0.05% 319
2021
Q2
$764K Sell
7,430
-1,342
-15% -$138K 0.06% 297
2021
Q1
$913K Sell
8,772
-727
-8% -$75.7K 0.06% 276
2020
Q4
$871K Buy
9,499
+1,164
+14% +$107K 0.06% 284
2020
Q3
$588K Buy
8,335
+2,341
+39% +$165K 0.05% 318
2020
Q2
$394K Sell
5,994
-250
-4% -$16.4K 0.05% 319
2020
Q1
$310K Buy
6,244
+2,363
+61% +$117K 0.06% 326
2019
Q4
$367K Sell
3,881
-201
-5% -$19K 0.07% 258
2019
Q3
$365K Sell
4,082
-483
-11% -$43.2K 0.07% 257
2019
Q2
$393K Sell
4,565
-217
-5% -$18.7K 0.07% 244
2019
Q1
$402K Sell
4,782
-41
-0.9% -$3.45K 0.08% 229
2018
Q4
$401K Sell
4,823
-436
-8% -$36.3K 0.09% 197
2018
Q3
$539K Sell
5,259
-893
-15% -$91.5K 0.12% 188
2018
Q2
$676K Sell
6,152
-1,010
-14% -$111K 0.14% 166
2018
Q1
$757K Sell
7,162
-863
-11% -$91.2K 0.14% 167
2017
Q4
$973K Sell
8,025
-263
-3% -$31.9K 0.16% 158
2017
Q3
$905K Buy
8,288
+206
+3% +$22.5K 0.17% 163
2017
Q2
$763K Buy
8,082
+4,423
+121% +$418K 0.14% 183
2017
Q1
$445K Sell
3,659
-28,919
-89% -$3.52M 0.13% 172
2016
Q4
$2.94M Sell
32,578
-137
-0.4% -$12.3K 0.12% 163
2016
Q3
$2.64M Sell
32,715
-13,094
-29% -$1.06M 0.13% 163
2016
Q2
$3.51M Sell
45,809
-2,232
-5% -$171K 0.13% 171
2016
Q1
$4.22M Sell
48,041
-41,262
-46% -$3.62M 0.16% 140
2015
Q4
$7.76M Sell
89,303
-4,718
-5% -$410K 0.15% 144
2015
Q3
$7.98M Sell
94,021
-289
-0.3% -$24.5K 0.17% 130
2015
Q2
$9.76M Sell
94,310
-10,472
-10% -$1.08M 0.19% 115
2015
Q1
$9.2M Sell
104,782
-273
-0.3% -$24K 0.17% 125
2014
Q4
$8.34M Sell
105,055
-637
-0.6% -$50.6K 0.16% 137
2014
Q3
$11.5M Sell
105,692
-2,261
-2% -$246K 0.23% 98
2014
Q2
$10.5M Buy
107,953
+7,516
+7% +$729K 0.2% 107
2014
Q1
$8.89M Sell
100,437
-61,808
-38% -$5.47M 0.18% 122
2013
Q4
$13M Sell
162,245
-6,068
-4% -$487K 0.17% 131
2013
Q3
$12.3M Sell
168,313
-24,031
-12% -$1.76M 0.17% 130
2013
Q2
$12.7M Buy
+192,344
New +$12.7M 0.16% 132