Metropolitan Life Insurance Company (MetLife)’s Affiliated Managers Group AMG Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q1
Sell
-7,271
Closed -$1.2M 2267
2021
Q4
$1.2M Sell
7,271
-250
-3% -$41.1K 0.02% 851
2021
Q3
$1.14M Sell
7,521
-344
-4% -$52K 0.02% 860
2021
Q2
$1.21M Sell
7,865
-244
-3% -$37.6K 0.02% 864
2021
Q1
$1.21M Sell
8,109
-18
-0.2% -$2.68K 0.02% 814
2020
Q4
$827K Sell
8,127
-436
-5% -$44.3K 0.01% 1017
2020
Q3
$586K Sell
8,563
-587
-6% -$40.1K 0.01% 1105
2020
Q2
$682K Sell
9,150
-3,964
-30% -$296K 0.01% 995
2020
Q1
$776K Sell
13,114
-713
-5% -$42.2K 0.02% 810
2019
Q4
$1.17M Buy
13,827
+6,164
+80% +$522K 0.02% 801
2019
Q3
$639K Sell
7,663
-99
-1% -$8.25K 0.01% 1137
2019
Q2
$715K Buy
7,762
+387
+5% +$35.7K 0.01% 1087
2019
Q1
$790K Sell
7,375
-274
-4% -$29.3K 0.01% 1016
2018
Q4
$745K Sell
7,649
-72
-0.9% -$7.02K 0.01% 963
2018
Q3
$1.06M Sell
7,721
-424
-5% -$58K 0.02% 903
2018
Q2
$1.21M Sell
8,145
-305
-4% -$45.3K 0.02% 822
2018
Q1
$1.6M Sell
8,450
-85
-1% -$16.1K 0.02% 670
2017
Q4
$1.75M Sell
8,535
-18,052
-68% -$3.71M 0.02% 619
2017
Q3
$5.05M Sell
26,587
-856
-3% -$162K 0.03% 581
2017
Q2
$4.55M Sell
27,443
-2,579
-9% -$428K 0.03% 636
2017
Q1
$4.92M Buy
30,022
+461
+2% +$75.6K 0.03% 600
2016
Q4
$4.3M Sell
29,561
-146
-0.5% -$21.2K 0.03% 664
2016
Q3
$4.3M Sell
29,707
-317
-1% -$45.9K 0.03% 617
2016
Q2
$4.23M Sell
30,024
-764
-2% -$108K 0.03% 610
2016
Q1
$5M Sell
30,788
-506
-2% -$82.2K 0.04% 512
2015
Q4
$5M Sell
31,294
-513
-2% -$82K 0.04% 490
2015
Q3
$5.44M Sell
31,807
-771
-2% -$132K 0.04% 462
2015
Q2
$7.12M Buy
32,578
+154
+0.5% +$33.7K 0.05% 374
2015
Q1
$6.96M Sell
32,424
-919
-3% -$197K 0.05% 378
2014
Q4
$7.08M Buy
33,343
+189
+0.6% +$40.1K 0.05% 371
2014
Q3
$6.64M Sell
33,154
-386
-1% -$77.3K 0.05% 376
2014
Q2
$6.89M Sell
33,540
-13,026
-28% -$2.68M 0.05% 393
2014
Q1
$9.32M Buy
46,566
+1,064
+2% +$213K 0.06% 303
2013
Q4
$9.87M Buy
45,502
+277
+0.6% +$60.1K 0.07% 289
2013
Q3
$8.26M Buy
45,225
+569
+1% +$104K 0.06% 325
2013
Q2
$7.32M Buy
+44,656
New +$7.32M 0.06% 338