Metropolitan Life Insurance Company (MetLife)’s Flowserve FLS Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q1
Sell
-23,303
Closed -$713K 2402
2021
Q4
$713K Sell
23,303
-475
-2% -$14.5K 0.01% 1194
2021
Q3
$824K Sell
23,778
-840
-3% -$29.1K 0.01% 1106
2021
Q2
$993K Sell
24,618
-14
-0.1% -$564 0.01% 1013
2021
Q1
$956K Buy
24,632
+7,756
+46% +$301K 0.01% 958
2020
Q4
$622K Sell
16,876
-886
-5% -$32.6K 0.01% 1225
2020
Q3
$485K Sell
17,762
-782
-4% -$21.3K 0.01% 1238
2020
Q2
$529K Sell
18,544
-2,553
-12% -$72.8K 0.01% 1159
2020
Q1
$504K Sell
21,097
-138
-0.6% -$3.3K 0.01% 1043
2019
Q4
$1.06M Buy
21,235
+165
+0.8% +$8.21K 0.02% 864
2019
Q3
$984K Buy
21,070
+1,472
+8% +$68.8K 0.02% 864
2019
Q2
$1.03M Buy
19,598
+1,421
+8% +$74.9K 0.02% 879
2019
Q1
$821K Sell
18,177
-638
-3% -$28.8K 0.01% 989
2018
Q4
$715K Sell
18,815
-266
-1% -$10.1K 0.01% 992
2018
Q3
$1.04M Sell
19,081
-712
-4% -$38.9K 0.02% 912
2018
Q2
$800K Sell
19,793
-577
-3% -$23.3K 0.01% 1035
2018
Q1
$883K Buy
20,370
+144
+0.7% +$6.24K 0.01% 958
2017
Q4
$852K Sell
20,226
-41,795
-67% -$1.76M 0.01% 983
2017
Q3
$2.64M Sell
62,021
-1,306
-2% -$55.6K 0.02% 854
2017
Q2
$2.94M Sell
63,327
-4,786
-7% -$222K 0.02% 832
2017
Q1
$3.3M Sell
68,113
-978
-1% -$47.4K 0.02% 787
2016
Q4
$3.32M Sell
69,091
-1,753
-2% -$84.2K 0.02% 778
2016
Q3
$3.42M Sell
70,844
-718
-1% -$34.6K 0.03% 739
2016
Q2
$3.23M Buy
71,562
+59
+0.1% +$2.67K 0.02% 743
2016
Q1
$3.18M Sell
71,503
-1,852
-3% -$82.2K 0.02% 724
2015
Q4
$3.09M Sell
73,355
-2,423
-3% -$102K 0.02% 719
2015
Q3
$3.12M Sell
75,778
-2,025
-3% -$83.3K 0.02% 719
2015
Q2
$4.1M Sell
77,803
-3,489
-4% -$184K 0.03% 640
2015
Q1
$4.59M Sell
81,292
-1,840
-2% -$104K 0.03% 561
2014
Q4
$4.97M Buy
83,132
+1,414
+2% +$84.6K 0.03% 538
2014
Q3
$5.76M Sell
81,718
-1,603
-2% -$113K 0.04% 441
2014
Q2
$6.2M Sell
83,321
-4,390
-5% -$326K 0.04% 435
2014
Q1
$6.87M Sell
87,711
-2,431
-3% -$190K 0.05% 397
2013
Q4
$7.11M Sell
90,142
-3,200
-3% -$252K 0.05% 379
2013
Q3
$5.82M Sell
93,342
-2,168
-2% -$135K 0.04% 426
2013
Q2
$5.16M Buy
+95,510
New +$5.16M 0.04% 437