Metropolitan Life Insurance Company (MetLife)’s Integrated Device Technology I IDTI Stock Holding History
Bought
Maintained
Sold
Quarter | Market Value | Status | Shares |
Shares Change % | Capital Flow | Portfolio Weight | Portfolio Position | |
---|---|---|---|---|---|---|---|---|
2019
Q2 | – | Sell |
-73,647
| Closed | -$3.61M | – | 2654 |
|
2019
Q1 | $3.61M | Sell |
73,647
-1,713
| -2% | -$83.9K | 0.07% | 246 |
|
2018
Q4 | $3.65M | Buy |
75,360
+611
| +0.8% | +$29.6K | 0.07% | 219 |
|
2018
Q3 | $3.51M | Sell |
74,749
-1,955
| -3% | -$91.9K | 0.06% | 267 |
|
2018
Q2 | $2.45M | Sell |
76,704
-559
| -0.7% | -$17.8K | 0.04% | 413 |
|
2018
Q1 | $2.36M | Buy |
77,263
+1,186
| +2% | +$36.2K | 0.03% | 433 |
|
2017
Q4 | $2.26M | Sell |
76,077
-134,342
| -64% | -$3.99M | 0.03% | 476 |
|
2017
Q3 | $5.59M | Sell |
210,419
-4,180
| -2% | -$111K | 0.04% | 518 |
|
2017
Q2 | $5.54M | Buy |
214,599
+1,028
| +0.5% | +$26.5K | 0.04% | 512 |
|
2017
Q1 | $5.06M | Sell |
213,571
-883
| -0.4% | -$20.9K | 0.04% | 585 |
|
2016
Q4 | $5.05M | Sell |
214,454
-3,308
| -2% | -$77.9K | 0.04% | 566 |
|
2016
Q3 | $5.03M | Buy |
217,762
+479
| +0.2% | +$11.1K | 0.04% | 529 |
|
2016
Q2 | $4.37M | Sell |
217,283
-1,268
| -0.6% | -$25.5K | 0.03% | 592 |
|
2016
Q1 | $4.47M | Sell |
218,551
-8,295
| -4% | -$170K | 0.03% | 570 |
|
2015
Q4 | $5.98M | Sell |
226,846
-2,694
| -1% | -$71K | 0.05% | 414 |
|
2015
Q3 | $4.66M | Sell |
229,540
-508
| -0.2% | -$10.3K | 0.03% | 539 |
|
2015
Q2 | $4.99M | Buy |
230,048
+1,237
| +0.5% | +$26.8K | 0.04% | 549 |
|
2015
Q1 | $4.58M | Buy |
228,811
+6,940
| +3% | +$139K | 0.03% | 563 |
|
2014
Q4 | $4.35M | Sell |
221,871
-4,166
| -2% | -$81.7K | 0.03% | 607 |
|
2014
Q3 | $3.61M | Buy |
226,037
+11,291
| +5% | +$180K | 0.03% | 669 |
|
2014
Q2 | $3.32M | Sell |
214,746
-265
| -0.1% | -$4.1K | 0.02% | 752 |
|
2014
Q1 | $2.63M | Sell |
215,011
-2,536
| -1% | -$31K | 0.02% | 845 |
|
2013
Q4 | $2.22M | Buy |
217,547
+10,922
| +5% | +$111K | 0.02% | 924 |
|
2013
Q3 | $1.95M | Sell |
206,625
-21,613
| -9% | -$204K | 0.01% | 946 |
|
2013
Q2 | $1.81M | Buy |
+228,238
| New | +$1.81M | 0.01% | 936 |
|