Metropolitan Life Insurance Company (MetLife)’s Amicus Therapeutics FOLD Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2024
Q2
Sell
-15,529
Closed -$183K 793
2024
Q1
$183K Sell
15,529
-619
-4% -$7.29K 0.01% 752
2023
Q4
$229K Hold
16,148
0.01% 679
2023
Q3
$196K Buy
16,148
+1,027
+7% +$12.5K 0.01% 679
2023
Q2
$190K Buy
15,121
+354
+2% +$4.45K 0.01% 697
2023
Q1
$164K Sell
14,767
-2,195
-13% -$24.3K 0.01% 746
2022
Q4
$207K Buy
16,962
+797
+5% +$9.73K 0.01% 700
2022
Q3
$169K Hold
16,165
0.01% 741
2022
Q2
$174K Hold
16,165
0.01% 765
2022
Q1
$153K Sell
16,165
-51,951
-76% -$492K 0.01% 957
2021
Q4
$787K Sell
68,116
-1,641
-2% -$19K 0.01% 1133
2021
Q3
$666K Sell
69,757
-5,581
-7% -$53.3K 0.01% 1255
2021
Q2
$726K Buy
75,338
+4,865
+7% +$46.9K 0.01% 1254
2021
Q1
$696K Sell
70,473
-2,640
-4% -$26.1K 0.01% 1202
2020
Q4
$1.69M Sell
73,113
-285
-0.4% -$6.58K 0.03% 562
2020
Q3
$1.04M Sell
73,398
-5,465
-7% -$77.2K 0.02% 725
2020
Q2
$1.19M Buy
78,863
+1,831
+2% +$27.6K 0.02% 631
2020
Q1
$712K Sell
77,032
-2,588
-3% -$23.9K 0.01% 850
2019
Q4
$775K Sell
79,620
-2,192
-3% -$21.4K 0.01% 1059
2019
Q3
$656K Buy
81,812
+17,835
+28% +$143K 0.01% 1119
2019
Q2
$798K Buy
63,977
+2,344
+4% +$29.3K 0.01% 1027
2019
Q1
$838K Hold
61,633
0.02% 978
2018
Q4
$590K Hold
61,633
0.01% 1092
2018
Q3
$745K Hold
61,633
0.01% 1091
2018
Q2
$963K Buy
61,633
+1,049
+2% +$16.4K 0.02% 940
2018
Q1
$911K Buy
60,584
+8,412
+16% +$127K 0.01% 943
2017
Q4
$751K Sell
52,172
-58,855
-53% -$847K 0.01% 1037
2017
Q3
$1.67M Buy
111,027
+8,565
+8% +$129K 0.01% 999
2017
Q2
$1.03M Hold
102,462
0.01% 1234
2017
Q1
$731K Buy
102,462
+5,041
+5% +$36K 0.01% 1404
2016
Q4
$484K Sell
97,421
-6,016
-6% -$29.9K ﹤0.01% 1757
2016
Q3
$765K Buy
103,437
+10,448
+11% +$77.3K 0.01% 1436
2016
Q2
$508K Buy
92,989
+11,881
+15% +$64.9K ﹤0.01% 1683
2016
Q1
$685K Hold
81,108
0.01% 1391
2015
Q4
$787K Hold
81,108
0.01% 1313
2015
Q3
$1.14M Buy
81,108
+11,789
+17% +$165K 0.01% 1128
2015
Q2
$981K Buy
+69,319
New +$981K 0.01% 1295