Metropolitan Life Insurance Company (MetLife)’s Crane NXT CXT Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q1
Sell
-25,678
Closed -$907K 2353
2021
Q4
$907K Sell
25,678
-486
-2% -$17.2K 0.01% 1036
2021
Q3
$862K Sell
26,164
-824
-3% -$27.1K 0.01% 1077
2021
Q2
$866K Buy
26,988
+118
+0.4% +$3.79K 0.01% 1125
2021
Q1
$876K Buy
26,870
+1,414
+6% +$46.1K 0.01% 1054
2020
Q4
$687K Sell
25,456
-648
-2% -$17.5K 0.01% 1157
2020
Q3
$455K Sell
26,104
-1,365
-5% -$23.8K 0.01% 1284
2020
Q2
$567K Sell
27,469
-11,556
-30% -$239K 0.01% 1106
2020
Q1
$667K Sell
39,025
-2,125
-5% -$36.3K 0.01% 898
2019
Q4
$1.23M Buy
41,150
+268
+0.7% +$8.04K 0.02% 775
2019
Q3
$1.14M Sell
40,882
-953
-2% -$26.7K 0.02% 789
2019
Q2
$1.21M Buy
41,835
+84
+0.2% +$2.43K 0.02% 783
2019
Q1
$1.23M Buy
41,751
+144
+0.3% +$4.23K 0.02% 764
2018
Q4
$1.04M Buy
41,607
+31
+0.1% +$777 0.02% 789
2018
Q3
$1.42M Sell
41,576
-501
-1% -$17.1K 0.02% 724
2018
Q2
$1.17M Buy
42,077
+21
+0% +$584 0.02% 841
2018
Q1
$1.35M Buy
42,056
+492
+1% +$15.8K 0.02% 749
2017
Q4
$1.29M Sell
41,564
-95,586
-70% -$2.96M 0.02% 779
2017
Q3
$3.81M Buy
137,150
+138
+0.1% +$3.84K 0.02% 719
2017
Q2
$3.78M Buy
137,012
+2,246
+2% +$61.9K 0.03% 716
2017
Q1
$3.5M Buy
134,766
+740
+0.6% +$19.2K 0.02% 754
2016
Q4
$3.36M Buy
134,026
+63
+0% +$1.58K 0.02% 771
2016
Q3
$2.93M Buy
133,963
+15
+0% +$328 0.02% 810
2016
Q2
$2.64M Buy
133,948
+4,908
+4% +$96.7K 0.02% 837
2016
Q1
$2.41M Buy
129,040
+4,008
+3% +$75K 0.02% 840
2015
Q4
$2.08M Buy
125,032
+544
+0.4% +$9.04K 0.02% 882
2015
Q3
$2.02M Buy
124,488
+446
+0.4% +$7.22K 0.01% 909
2015
Q2
$2.53M Sell
124,042
-2,047
-2% -$41.8K 0.02% 870
2015
Q1
$2.73M Buy
126,089
+2,704
+2% +$58.6K 0.02% 785
2014
Q4
$2.52M Buy
123,385
+1,148
+0.9% +$23.4K 0.02% 874
2014
Q3
$2.68M Buy
122,237
+1,129
+0.9% +$24.8K 0.02% 818
2014
Q2
$3.13M Sell
121,108
-1,667
-1% -$43.1K 0.02% 781
2014
Q1
$3.03M Buy
122,775
+2,450
+2% +$60.5K 0.02% 781
2013
Q4
$2.81M Buy
120,325
+610
+0.5% +$14.3K 0.02% 796
2013
Q3
$2.56M Buy
119,715
+1,751
+1% +$37.5K 0.02% 805
2013
Q2
$2.46M Buy
+117,964
New +$2.46M 0.02% 773