Metropolitan Life Insurance Company (MetLife)’s Columbia Banking Systems COLB Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2023
Q1
Sell
-4,764
Closed -$144K 2342
2022
Q4
$144K Hold
4,764
0.01% 867
2022
Q3
$138K Hold
4,764
0.01% 844
2022
Q2
$136K Hold
4,764
0.01% 893
2022
Q1
$154K Sell
4,764
-15,761
-77% -$509K 0.01% 952
2021
Q4
$672K Buy
20,525
+1,249
+6% +$40.9K 0.01% 1230
2021
Q3
$732K Sell
19,276
-1,000
-5% -$38K 0.01% 1180
2021
Q2
$782K Buy
20,276
+1,306
+7% +$50.4K 0.01% 1196
2021
Q1
$817K Sell
18,970
-2,404
-11% -$104K 0.01% 1093
2020
Q4
$767K Buy
21,374
+220
+1% +$7.9K 0.01% 1070
2020
Q3
$505K Sell
21,154
-504
-2% -$12K 0.01% 1212
2020
Q2
$614K Hold
21,658
0.01% 1061
2020
Q1
$580K Sell
21,658
-1,156
-5% -$31K 0.01% 966
2019
Q4
$928K Sell
22,814
-487
-2% -$19.8K 0.01% 936
2019
Q3
$860K Hold
23,301
0.01% 940
2019
Q2
$843K Hold
23,301
0.01% 997
2019
Q1
$762K Hold
23,301
0.01% 1035
2018
Q4
$846K Buy
23,301
+230
+1% +$8.35K 0.02% 895
2018
Q3
$894K Hold
23,071
0.02% 995
2018
Q2
$944K Hold
23,071
0.02% 953
2018
Q1
$968K Buy
23,071
+508
+2% +$21.3K 0.01% 914
2017
Q4
$980K Sell
22,563
-17,849
-44% -$775K 0.01% 899
2017
Q3
$1.7M Sell
40,412
-393
-1% -$16.6K 0.01% 996
2017
Q2
$1.63M Sell
40,805
-348
-0.8% -$13.9K 0.01% 1019
2017
Q1
$1.61M Hold
41,153
0.01% 1035
2016
Q4
$1.84M Sell
41,153
-131
-0.3% -$5.85K 0.01% 1007
2016
Q3
$1.35M Sell
41,284
-847
-2% -$27.7K 0.01% 1128
2016
Q2
$1.18M Buy
42,131
+2,134
+5% +$59.9K 0.01% 1165
2016
Q1
$1.2M Buy
39,997
+418
+1% +$12.5K 0.01% 1093
2015
Q4
$1.29M Hold
39,579
0.01% 1055
2015
Q3
$1.24M Sell
39,579
-937
-2% -$29.2K 0.01% 1086
2015
Q2
$1.32M Sell
40,516
-2,362
-6% -$76.8K 0.01% 1129
2015
Q1
$1.24M Hold
42,878
0.01% 1086
2014
Q4
$1.18M Buy
42,878
+1,187
+3% +$32.8K 0.01% 1222
2014
Q3
$1.03M Hold
41,691
0.01% 1257
2014
Q2
$1.1M Sell
41,691
-173
-0.4% -$4.55K 0.01% 1292
2014
Q1
$1.19M Hold
41,864
0.01% 1221
2013
Q4
$1.15M Hold
41,864
0.01% 1241
2013
Q3
$1.03M Hold
41,864
0.01% 1264
2013
Q2
$997K Buy
+41,864
New +$997K 0.01% 1232