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Metropolitan Life Insurance Company (MetLife)’s Alphabet (Google) Class A GOOGL Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2024
Q2
Sell
-237,683
Closed -$35.9M 881
2024
Q1
$35.9M Sell
237,683
-3,207
-1% -$484K 1.56% 9
2023
Q4
$33.6M Sell
240,890
-4,586
-2% -$641K 1.58% 8
2023
Q3
$32.1M Sell
245,476
-13,430
-5% -$1.76M 1.67% 7
2023
Q2
$31M Sell
258,906
-7,494
-3% -$897K 1.51% 9
2023
Q1
$27.6M Sell
266,400
-65,050
-20% -$6.75M 1.42% 8
2022
Q4
$29.2M Sell
331,450
-12,846
-4% -$1.13M 1.31% 8
2022
Q3
$32.9M Buy
344,296
+326,812
+1,869% +$31.3M 1.56% 6
2022
Q2
$38.1M Sell
17,484
-444
-2% -$968K 1.67% 5
2022
Q1
$49.9M Sell
17,928
-27,915
-61% -$77.6M 1.78% 6
2021
Q4
$133M Sell
45,843
-1,143
-2% -$3.31M 1.8% 6
2021
Q3
$126M Sell
46,986
-1,534
-3% -$4.1M 1.82% 5
2021
Q2
$118M Sell
48,520
-119
-0.2% -$291K 1.67% 5
2021
Q1
$100M Sell
48,639
-2,750
-5% -$5.67M 1.5% 5
2020
Q4
$90.1M Sell
51,389
-2,102
-4% -$3.68M 1.35% 7
2020
Q3
$78.4M Sell
53,491
-2,164
-4% -$3.17M 1.33% 6
2020
Q2
$78.9M Sell
55,655
-2,585
-4% -$3.67M 1.4% 5
2020
Q1
$67.7M Sell
58,240
-836
-1% -$971K 1.39% 6
2019
Q4
$79.1M Sell
59,076
-310
-0.5% -$415K 1.26% 6
2019
Q3
$72.5M Buy
59,386
+207
+0.3% +$253K 1.23% 7
2019
Q2
$64.1M Buy
59,179
+3,022
+5% +$3.27M 1.08% 9
2019
Q1
$66.1M Sell
56,157
-2,133
-4% -$2.51M 1.2% 8
2018
Q4
$60.9M Sell
58,290
-260
-0.4% -$272K 1.22% 8
2018
Q3
$70.7M Sell
58,550
-1,324
-2% -$1.6M 1.2% 7
2018
Q2
$67.6M Buy
59,874
+548
+0.9% +$619K 1.1% 10
2018
Q1
$61.5M Buy
59,326
+324
+0.5% +$336K 0.87% 10
2017
Q4
$62.2M Sell
59,002
-95,155
-62% -$100M 0.83% 10
2017
Q3
$150M Sell
154,157
-1,772
-1% -$1.73M 0.94% 12
2017
Q2
$145M Sell
155,929
-2,114
-1% -$1.97M 1% 11
2017
Q1
$134M Sell
158,043
-1,690
-1% -$1.43M 0.93% 11
2016
Q4
$127M Sell
159,733
-3,869
-2% -$3.07M 0.91% 13
2016
Q3
$132M Sell
163,602
-1,465
-0.9% -$1.18M 0.96% 11
2016
Q2
$116M Sell
165,067
-555
-0.3% -$390K 0.86% 16
2016
Q1
$126M Sell
165,622
-1,609
-1% -$1.23M 0.97% 13
2015
Q4
$130M Buy
+167,231
New +$130M 1% 13