LSV Asset Management’s American National Group, Inc. Common Stock ANAT Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q1
Sell
-109,153
Closed -$20.6M 919
2021
Q4
$20.6M Sell
109,153
-8,940
-8% -$1.69M 0.04% 351
2021
Q3
$22.3M Sell
118,093
-5,200
-4% -$983K 0.04% 349
2021
Q2
$18.3M Sell
123,293
-2,100
-2% -$312K 0.03% 390
2021
Q1
$13.5M Sell
125,393
-500
-0.4% -$53.9K 0.02% 435
2020
Q4
$12.1M Sell
125,893
-100
-0.1% -$9.61K 0.02% 438
2020
Q3
$8.51M Sell
125,993
-4,500
-3% -$304K 0.02% 452
2020
Q2
$9.4M Sell
130,493
-800
-0.6% -$57.7K 0.02% 446
2020
Q1
$10.8M Sell
131,293
-3,700
-3% -$305K 0.03% 397
2019
Q4
$15.9M Sell
134,993
-1,353
-1% -$159K 0.02% 415
2019
Q3
$16.9M Buy
136,346
+1,200
+0.9% +$148K 0.03% 397
2019
Q2
$15.7M Sell
135,146
-115,017
-46% -$13.4M 0.03% 405
2019
Q1
$30.2M Buy
250,163
+71,768
+40% +$8.67M 0.05% 308
2018
Q4
$22.7M Buy
178,395
+75,874
+74% +$9.65M 0.04% 338
2018
Q3
$13.3M Buy
102,521
+30,021
+41% +$3.88M 0.02% 455
2018
Q2
$8.67M Buy
72,500
+8,719
+14% +$1.04M 0.01% 519
2018
Q1
$7.46M Buy
63,781
+6,400
+11% +$748K 0.01% 526
2017
Q4
$7.36M Buy
57,381
+1,800
+3% +$231K 0.01% 536
2017
Q3
$6.56M Sell
55,581
-600
-1% -$70.8K 0.01% 546
2017
Q2
$6.54M Hold
56,181
0.01% 529
2017
Q1
$6.63M Sell
56,181
-3,100
-5% -$366K 0.01% 519
2016
Q4
$7.39M Sell
59,281
-1,538
-3% -$192K 0.01% 512
2016
Q3
$7.42M Sell
60,819
-6,084
-9% -$742K 0.01% 482
2016
Q2
$7.57M Buy
66,903
+3,300
+5% +$373K 0.02% 462
2016
Q1
$7.35M Sell
63,603
-5,198
-8% -$600K 0.02% 459
2015
Q4
$7.04M Buy
68,801
+2,784
+4% +$285K 0.02% 451
2015
Q3
$6.45M Buy
66,017
+24,037
+57% +$2.35M 0.01% 458
2015
Q2
$4.3M Buy
41,980
+500
+1% +$51.2K 0.01% 510
2015
Q1
$4.08M Hold
41,480
0.01% 510
2014
Q4
$4.74M Sell
41,480
-300
-0.7% -$34.3K 0.01% 478
2014
Q3
$4.7M Sell
41,780
-6,662
-14% -$749K 0.01% 464
2014
Q2
$5.53M Sell
48,442
-6,581
-12% -$752K 0.01% 456
2014
Q1
$6.22M Buy
55,023
+1,300
+2% +$147K 0.01% 427
2013
Q4
$6.15M Sell
53,723
-2,219
-4% -$254K 0.01% 436
2013
Q3
$5.48M Hold
55,942
0.01% 446
2013
Q2
$5.56M Buy
+55,942
New +$5.56M 0.01% 428