Metropolitan Life Insurance Company (MetLife)’s Flowers Foods FLO Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q1
Sell
-35,328
Closed -$970K 2401
2021
Q4
$970K Sell
35,328
-783
-2% -$21.5K 0.01% 985
2021
Q3
$853K Sell
36,111
-899
-2% -$21.2K 0.01% 1083
2021
Q2
$896K Sell
37,010
-182
-0.5% -$4.4K 0.01% 1100
2021
Q1
$885K Buy
37,192
+1,941
+6% +$46.2K 0.01% 1040
2020
Q4
$798K Sell
35,251
-942
-3% -$21.3K 0.01% 1039
2020
Q3
$881K Sell
36,193
-1,182
-3% -$28.8K 0.01% 818
2020
Q2
$836K Sell
37,375
-13,938
-27% -$312K 0.01% 841
2020
Q1
$1.05M Sell
51,313
-2,782
-5% -$57.1K 0.02% 656
2019
Q4
$1.18M Buy
54,095
+327
+0.6% +$7.11K 0.02% 798
2019
Q3
$1.24M Buy
53,768
+1,284
+2% +$29.7K 0.02% 737
2019
Q2
$1.22M Buy
52,484
+141
+0.3% +$3.28K 0.02% 776
2019
Q1
$1.12M Sell
52,343
-81
-0.2% -$1.73K 0.02% 826
2018
Q4
$968K Buy
52,424
+165
+0.3% +$3.05K 0.02% 827
2018
Q3
$975K Sell
52,259
-1,076
-2% -$20.1K 0.02% 947
2018
Q2
$1.11M Buy
53,335
+99
+0.2% +$2.06K 0.02% 868
2018
Q1
$1.16M Buy
53,236
+620
+1% +$13.6K 0.02% 831
2017
Q4
$1.02M Sell
52,616
-120,475
-70% -$2.33M 0.01% 876
2017
Q3
$3.26M Sell
173,091
-4
-0% -$75 0.02% 788
2017
Q2
$3M Sell
173,095
-4,257
-2% -$73.7K 0.02% 819
2017
Q1
$3.44M Buy
177,352
+572
+0.3% +$11.1K 0.02% 768
2016
Q4
$3.53M Sell
176,780
-424
-0.2% -$8.47K 0.03% 751
2016
Q3
$2.68M Sell
177,204
-725
-0.4% -$11K 0.02% 848
2016
Q2
$3.34M Buy
177,929
+1,882
+1% +$35.3K 0.02% 724
2016
Q1
$3.25M Buy
176,047
+4,890
+3% +$90.3K 0.03% 712
2015
Q4
$3.68M Buy
171,157
+2,463
+1% +$52.9K 0.03% 639
2015
Q3
$4.17M Sell
168,694
-1,340
-0.8% -$33.1K 0.03% 586
2015
Q2
$3.6M Buy
170,034
+1,047
+0.6% +$22.1K 0.03% 710
2015
Q1
$3.84M Buy
168,987
+5,250
+3% +$119K 0.03% 640
2014
Q4
$3.14M Buy
163,737
+1,964
+1% +$37.7K 0.02% 759
2014
Q3
$2.97M Buy
161,773
+7,924
+5% +$145K 0.02% 764
2014
Q2
$3.24M Buy
153,849
+814
+0.5% +$17.2K 0.02% 762
2014
Q1
$3.28M Buy
153,035
+2,830
+2% +$60.7K 0.02% 743
2013
Q4
$3.23M Buy
150,205
+717
+0.5% +$15.4K 0.02% 732
2013
Q3
$3.21M Buy
149,488
+3,843
+3% +$82.4K 0.02% 691
2013
Q2
$3.21M Buy
+145,645
New +$3.21M 0.03% 653