JPMorgan Chase & Co’s Corelogic, Inc. CLGX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q2
Sell
-314,588
Closed -$24.9M 5810
2021
Q1
$24.9M Sell
314,588
-1,058,747
-77% -$83.9M ﹤0.01% 1428
2020
Q4
$106M Sell
1,373,335
-102,543
-7% -$7.93M 0.02% 698
2020
Q3
$99.5M Sell
1,475,878
-302,342
-17% -$20.4M 0.02% 649
2020
Q2
$120M Sell
1,778,220
-309,514
-15% -$20.8M 0.02% 564
2020
Q1
$63.8M Sell
2,087,734
-114,617
-5% -$3.5M 0.02% 676
2019
Q4
$96.3M Buy
2,202,351
+52,400
+2% +$2.29M 0.02% 625
2019
Q3
$99.5M Sell
2,149,951
-198,827
-8% -$9.2M 0.02% 624
2019
Q2
$98.1M Sell
2,348,778
-165,721
-7% -$6.92M 0.02% 633
2019
Q1
$93.7M Sell
2,514,499
-355,623
-12% -$13.3M 0.02% 619
2018
Q4
$95.9M Buy
2,870,122
+371,425
+15% +$12.4M 0.02% 579
2018
Q3
$123M Buy
2,498,697
+96,247
+4% +$4.76M 0.02% 561
2018
Q2
$125M Sell
2,402,450
-122,668
-5% -$6.37M 0.03% 535
2018
Q1
$114M Buy
2,525,118
+532,291
+27% +$24.1M 0.02% 551
2017
Q4
$92.1M Buy
1,992,827
+31,823
+2% +$1.47M 0.02% 643
2017
Q3
$90.5M Sell
1,961,004
-325,800
-14% -$15M 0.02% 620
2017
Q2
$99.2M Buy
2,286,804
+5,148
+0.2% +$223K 0.02% 586
2017
Q1
$92.9M Sell
2,281,656
-165,374
-7% -$6.73M 0.02% 594
2016
Q4
$90.1M Buy
2,447,030
+105,977
+5% +$3.9M 0.02% 577
2016
Q3
$91.8M Buy
2,341,053
+245,779
+12% +$9.64M 0.02% 538
2016
Q2
$80.6M Buy
2,095,274
+55,065
+3% +$2.12M 0.02% 575
2016
Q1
$70.8M Sell
2,040,209
-99,372
-5% -$3.45M 0.02% 605
2015
Q4
$72.4M Buy
2,139,581
+175,999
+9% +$5.96M 0.02% 614
2015
Q3
$73.1M Sell
1,963,582
-149,625
-7% -$5.57M 0.02% 605
2015
Q2
$83.9M Buy
2,113,207
+506,677
+32% +$20.1M 0.02% 633
2015
Q1
$56.7M Sell
1,606,530
-166,778
-9% -$5.88M 0.01% 787
2014
Q4
$56M Sell
1,773,308
-112,571
-6% -$3.56M 0.01% 808
2014
Q3
$51.1M Sell
1,885,879
-100,744
-5% -$2.73M 0.01% 811
2014
Q2
$60.3M Sell
1,986,623
-1,462,809
-42% -$44.4M 0.02% 754
2014
Q1
$104M Buy
3,449,432
+84,047
+2% +$2.52M 0.03% 521
2013
Q4
$120M Buy
3,365,385
+70,718
+2% +$2.51M 0.03% 448
2013
Q3
$89.1M Sell
3,294,667
-867,152
-21% -$23.5M 0.03% 558
2013
Q2
$96.4M Buy
+4,161,819
New +$96.4M 0.03% 496