Metropolitan Life Insurance Company (MetLife)’s FTI Consulting FCN Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q1
Sell
-6,120
Closed -$939K 2391
2021
Q4
$939K Sell
6,120
-124
-2% -$19K 0.01% 1014
2021
Q3
$841K Sell
6,244
-209
-3% -$28.2K 0.01% 1095
2021
Q2
$882K Sell
6,453
-40
-0.6% -$5.46K 0.01% 1113
2021
Q1
$910K Buy
6,493
+109
+2% +$15.3K 0.01% 1016
2020
Q4
$713K Sell
6,384
-342
-5% -$38.2K 0.01% 1120
2020
Q3
$713K Sell
6,726
-454
-6% -$48.1K 0.01% 951
2020
Q2
$822K Sell
7,180
-12,930
-64% -$1.48M 0.01% 855
2020
Q1
$2.41M Sell
20,110
-662
-3% -$79.3K 0.05% 324
2019
Q4
$2.3M Buy
20,772
+9,282
+81% +$1.03M 0.04% 467
2019
Q3
$1.22M Sell
11,490
-482
-4% -$51.1K 0.02% 750
2019
Q2
$1M Buy
11,972
+127
+1% +$10.6K 0.02% 890
2019
Q1
$910K Buy
11,845
+175
+1% +$13.4K 0.02% 934
2018
Q4
$778K Sell
11,670
-645
-5% -$43K 0.02% 944
2018
Q3
$901K Hold
12,315
0.02% 989
2018
Q2
$745K Hold
12,315
0.01% 1070
2018
Q1
$596K Hold
12,315
0.01% 1164
2017
Q4
$529K Sell
12,315
-15,078
-55% -$648K 0.01% 1249
2017
Q3
$972K Sell
27,393
-38,613
-58% -$1.37M 0.01% 1267
2017
Q2
$2.31M Buy
66,006
+554
+0.8% +$19.4K 0.02% 901
2017
Q1
$2.7M Sell
65,452
-1,168
-2% -$48.1K 0.02% 857
2016
Q4
$3M Buy
66,620
+55
+0.1% +$2.48K 0.02% 816
2016
Q3
$2.97M Sell
66,565
-14
-0% -$624 0.02% 806
2016
Q2
$2.71M Buy
66,579
+1,658
+3% +$67.4K 0.02% 817
2016
Q1
$2.31M Buy
64,921
+450
+0.7% +$16K 0.02% 851
2015
Q4
$2.24M Buy
64,471
+246
+0.4% +$8.53K 0.02% 858
2015
Q3
$2.67M Sell
64,225
-547
-0.8% -$22.7K 0.02% 791
2015
Q2
$2.67M Sell
64,772
-899
-1% -$37.1K 0.02% 840
2015
Q1
$2.46M Buy
65,671
+1,548
+2% +$58K 0.02% 825
2014
Q4
$2.48M Buy
64,123
+444
+0.7% +$17.2K 0.02% 880
2014
Q3
$2.23M Buy
63,679
+230
+0.4% +$8.04K 0.02% 911
2014
Q2
$2.4M Sell
63,449
-2,265
-3% -$85.7K 0.02% 916
2014
Q1
$2.19M Buy
65,714
+677
+1% +$22.6K 0.02% 938
2013
Q4
$2.68M Buy
65,037
+2,166
+3% +$89.1K 0.02% 826
2013
Q3
$2.38M Buy
62,871
+767
+1% +$29K 0.02% 840
2013
Q2
$2.04M Buy
+62,104
New +$2.04M 0.02% 875