Investment Management of Virginia’s Medical Properties Trust MPW Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2023
Q1
$268K Sell
32,550
-150
-0.5% -$1.23K 0.05% 169
2022
Q4
$364K Sell
32,700
-1,250
-4% -$13.9K 0.07% 156
2022
Q3
$403K Hold
33,950
0.09% 148
2022
Q2
$518K Sell
33,950
-400
-1% -$6.1K 0.11% 146
2022
Q1
$726K Sell
34,350
-750
-2% -$15.9K 0.13% 139
2021
Q4
$830K Buy
35,100
+500
+1% +$11.8K 0.13% 135
2021
Q3
$695K Buy
34,600
+1,950
+6% +$39.2K 0.13% 124
2021
Q2
$656K Buy
32,650
+2,000
+7% +$40.2K 0.13% 129
2021
Q1
$652K Buy
30,650
+1,200
+4% +$25.5K 0.13% 123
2020
Q4
$641K Buy
29,450
+1,500
+5% +$32.6K 0.14% 119
2020
Q3
$493K Sell
27,950
-650
-2% -$11.5K 0.12% 122
2020
Q2
$538K Sell
28,600
-775
-3% -$14.6K 0.13% 114
2020
Q1
$508K Hold
29,375
0.15% 112
2019
Q4
$620K Sell
29,375
-2,200
-7% -$46.4K 0.14% 113
2019
Q3
$617K Hold
31,575
0.15% 116
2019
Q2
$551K Sell
31,575
-31,875
-50% -$556K 0.13% 124
2019
Q1
$1.17M Buy
63,450
+36,175
+133% +$669K 0.14% 127
2018
Q4
$438K Sell
27,275
-1,250
-4% -$20.1K 0.11% 131
2018
Q3
$425K Sell
28,525
-1,600
-5% -$23.8K 0.09% 133
2018
Q2
$423K Hold
30,125
0.09% 130
2018
Q1
$391K Buy
30,125
+150
+0.5% +$1.95K 0.09% 132
2017
Q4
$413K Buy
29,975
+450
+2% +$6.2K 0.1% 128
2017
Q3
$388K Hold
29,525
0.09% 126
2017
Q2
$380K Hold
29,525
0.09% 123
2017
Q1
$380K Buy
29,525
+1,200
+4% +$15.4K 0.09% 126
2016
Q4
$348K Buy
28,325
+200
+0.7% +$2.46K 0.08% 129
2016
Q3
$416K Sell
28,125
-200
-0.7% -$2.96K 0.1% 124
2016
Q2
$431K Hold
28,325
0.11% 127
2016
Q1
$367K Hold
28,325
0.1% 129
2015
Q4
$326K Buy
28,325
+500
+2% +$5.76K 0.09% 138
2015
Q3
$308K Buy
27,825
+1,550
+6% +$17.2K 0.08% 141
2015
Q2
$344K Hold
26,275
0.08% 139
2015
Q1
$387K Buy
26,275
+350
+1% +$5.16K 0.09% 134
2014
Q4
$357K Sell
25,925
-700
-3% -$9.64K 0.07% 139
2014
Q3
$327K Hold
26,625
0.06% 135
2014
Q2
$353K Buy
26,625
+300
+1% +$3.98K 0.06% 139
2014
Q1
$336K Sell
26,325
-4,190
-14% -$53.5K 0.06% 148
2013
Q4
$373K Buy
30,515
+2,950
+11% +$36.1K 0.06% 141
2013
Q3
$336K Sell
27,565
-3,900
-12% -$47.5K 0.06% 143
2013
Q2
$450K Buy
+31,465
New +$450K 0.1% 133