Los Angeles Capital Management’s Molina Healthcare MOH Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$20.6M Sell
69,150
-47,803
-41% -$14.2M 0.08% 170
2025
Q1
$38.5M Sell
116,953
-79,560
-40% -$26.2M 0.17% 108
2024
Q4
$57.2M Buy
196,513
+122,674
+166% +$35.7M 0.23% 90
2024
Q3
$25.4M Sell
73,839
-69,414
-48% -$23.9M 0.1% 168
2024
Q2
$42.6M Sell
143,253
-80,572
-36% -$24M 0.15% 119
2024
Q1
$92M Buy
223,825
+91,813
+70% +$37.7M 0.31% 75
2023
Q4
$47.7M Sell
132,012
-185,954
-58% -$67.2M 0.18% 112
2023
Q3
$104M Sell
317,966
-41,706
-12% -$13.7M 0.44% 49
2023
Q2
$108M Buy
359,672
+12,347
+4% +$3.72M 0.43% 55
2023
Q1
$92.9M Sell
347,325
-68,724
-17% -$18.4M 0.41% 57
2022
Q4
$137M Sell
416,049
-4,759
-1% -$1.57M 0.67% 35
2022
Q3
$139M Buy
420,808
+206,651
+96% +$68.2M 0.72% 29
2022
Q2
$59.9M Sell
214,157
-2,022
-0.9% -$565K 0.29% 82
2022
Q1
$72.1M Sell
216,179
-17,280
-7% -$5.76M 0.28% 85
2021
Q4
$74.3M Sell
233,459
-134,389
-37% -$42.7M 0.28% 83
2021
Q3
$99.8M Sell
367,848
-10,006
-3% -$2.71M 0.46% 48
2021
Q2
$95.6M Buy
377,854
+222,519
+143% +$56.3M 0.42% 55
2021
Q1
$36.3M Buy
155,335
+153,399
+7,924% +$35.9M 0.16% 139
2020
Q4
$412K Buy
1,936
+456
+31% +$97K ﹤0.01% 1280
2020
Q3
$271K Hold
1,480
﹤0.01% 1299
2020
Q2
$263K Sell
1,480
-751
-34% -$133K ﹤0.01% 1327
2020
Q1
$312K Hold
2,231
﹤0.01% 1039
2019
Q4
$303K Buy
+2,231
New +$303K ﹤0.01% 1127
2018
Q2
Sell
-37,760
Closed -$3.07M 1469
2018
Q1
$3.07M Buy
37,760
+9,860
+35% +$800K 0.02% 529
2017
Q4
$2.14M Buy
+27,900
New +$2.14M 0.01% 651
2015
Q4
Sell
-3,518
Closed -$242K 1155
2015
Q3
$242K Sell
3,518
-60
-2% -$4.13K ﹤0.01% 1064
2015
Q2
$252K Buy
3,578
+60
+2% +$4.23K ﹤0.01% 1096
2015
Q1
$237K Sell
3,518
-490
-12% -$33K ﹤0.01% 1120
2014
Q4
$215K Buy
+4,008
New +$215K ﹤0.01% 1048
2014
Q3
Sell
-5,291
Closed -$236K 1133
2014
Q2
$236K Sell
5,291
-175
-3% -$7.81K ﹤0.01% 1099
2014
Q1
$205K Buy
+5,466
New +$205K ﹤0.01% 1183
2013
Q4
Sell
-11,816
Closed -$421K 1305
2013
Q3
$421K Sell
11,816
-6,035
-34% -$215K 0.01% 979
2013
Q2
$664K Buy
+17,851
New +$664K 0.01% 808