Metropolitan Life Insurance Company (MetLife)’s MKS Inc. Common Stock MKSI Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q1
Sell
-12,093
Closed -$2.11M 2515
2021
Q4
$2.11M Sell
12,093
-228
-2% -$39.7K 0.03% 497
2021
Q3
$1.86M Sell
12,321
-404
-3% -$61K 0.03% 542
2021
Q2
$2.26M Buy
12,725
+140
+1% +$24.9K 0.03% 465
2021
Q1
$2.33M Buy
12,585
+386
+3% +$71.6K 0.03% 454
2020
Q4
$1.84M Sell
12,199
-297
-2% -$44.7K 0.03% 517
2020
Q3
$1.36M Sell
12,496
-564
-4% -$61.6K 0.02% 585
2020
Q2
$1.48M Sell
13,060
-1,444
-10% -$164K 0.03% 530
2020
Q1
$1.18M Sell
14,504
-787
-5% -$64.1K 0.02% 606
2019
Q4
$1.68M Buy
15,291
+98
+0.6% +$10.8K 0.03% 627
2019
Q3
$1.4M Sell
15,193
-2,966
-16% -$274K 0.02% 691
2019
Q2
$1.41M Sell
18,159
-46
-0.3% -$3.58K 0.02% 690
2019
Q1
$1.69M Sell
18,205
-32
-0.2% -$2.98K 0.03% 574
2018
Q4
$1.18M Sell
18,237
-240
-1% -$15.5K 0.02% 713
2018
Q3
$1.48M Sell
18,477
-82
-0.4% -$6.57K 0.03% 696
2018
Q2
$1.78M Sell
18,559
-12,573
-40% -$1.2M 0.03% 590
2018
Q1
$3.6M Buy
31,132
+409
+1% +$47.3K 0.05% 272
2017
Q4
$2.9M Sell
30,723
-4,909
-14% -$464K 0.04% 346
2017
Q3
$3.37M Sell
35,632
-1,384
-4% -$131K 0.02% 769
2017
Q2
$2.49M Buy
37,016
+100
+0.3% +$6.73K 0.02% 883
2017
Q1
$2.54M Sell
36,916
-428
-1% -$29.4K 0.02% 873
2016
Q4
$2.22M Sell
37,344
-586
-2% -$34.8K 0.02% 933
2016
Q3
$1.89M Sell
37,930
-295
-0.8% -$14.7K 0.01% 977
2016
Q2
$1.65M Buy
38,225
+1,183
+3% +$50.9K 0.01% 1011
2016
Q1
$1.4M Sell
37,042
-100
-0.3% -$3.77K 0.01% 1025
2015
Q4
$1.34M Hold
37,142
0.01% 1037
2015
Q3
$1.25M Sell
37,142
-442
-1% -$14.8K 0.01% 1081
2015
Q2
$1.43M Sell
37,584
-4,814
-11% -$183K 0.01% 1094
2015
Q1
$1.43M Hold
42,398
0.01% 1026
2014
Q4
$1.55M Buy
42,398
+136
+0.3% +$4.98K 0.01% 1070
2014
Q3
$1.41M Hold
42,262
0.01% 1086
2014
Q2
$1.32M Sell
42,262
-324
-0.8% -$10.1K 0.01% 1183
2014
Q1
$1.27M Hold
42,586
0.01% 1182
2013
Q4
$1.28M Hold
42,586
0.01% 1197
2013
Q3
$1.13M Hold
42,586
0.01% 1212
2013
Q2
$1.13M Buy
+42,586
New +$1.13M 0.01% 1160