Metropolitan Life Insurance Company (MetLife)’s MGIC Investment MTG Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q1
Sell
-58,227
Closed -$840K 2523
2021
Q4
$840K Sell
58,227
-3,697
-6% -$53.3K 0.01% 1090
2021
Q3
$926K Sell
61,924
-2,163
-3% -$32.4K 0.01% 1016
2021
Q2
$872K Buy
64,087
+76
+0.1% +$1.03K 0.01% 1121
2021
Q1
$887K Buy
64,011
+3,316
+5% +$45.9K 0.01% 1039
2020
Q4
$762K Buy
60,695
+53,915
+795% +$677K 0.01% 1077
2020
Q3
$60.1K Sell
6,780
-96
-1% -$851 ﹤0.01% 2444
2020
Q2
$56.3K Sell
6,876
-1,538
-18% -$12.6K ﹤0.01% 2486
2020
Q1
$53.4K Hold
8,414
﹤0.01% 2366
2019
Q4
$119K Sell
8,414
-147
-2% -$2.08K ﹤0.01% 2229
2019
Q3
$108K Sell
8,561
-102,304
-92% -$1.29M ﹤0.01% 2259
2019
Q2
$1.46M Hold
110,865
0.02% 677
2019
Q1
$1.46M Sell
110,865
-7,259
-6% -$95.7K 0.03% 662
2018
Q4
$1.24M Buy
118,124
+1,403
+1% +$14.7K 0.02% 680
2018
Q3
$1.55M Hold
116,721
0.03% 668
2018
Q2
$1.25M Buy
116,721
+1,256
+1% +$13.5K 0.02% 807
2018
Q1
$1.5M Buy
115,465
+2,267
+2% +$29.5K 0.02% 702
2017
Q4
$1.6M Sell
113,198
-135,893
-55% -$1.92M 0.02% 669
2017
Q3
$3.12M Sell
249,091
-1,297
-0.5% -$16.3K 0.02% 804
2017
Q2
$2.8M Buy
250,388
+21,381
+9% +$239K 0.02% 853
2017
Q1
$2.32M Sell
229,007
-664
-0.3% -$6.73K 0.02% 901
2016
Q4
$2.34M Sell
229,671
-9,265
-4% -$94.4K 0.02% 917
2016
Q3
$1.91M Sell
238,936
-7,626
-3% -$61K 0.01% 968
2016
Q2
$1.47M Buy
246,562
+3,142
+1% +$18.7K 0.01% 1056
2016
Q1
$1.87M Buy
243,420
+11,394
+5% +$87.4K 0.01% 917
2015
Q4
$2.05M Hold
232,026
0.02% 889
2015
Q3
$2.15M Sell
232,026
-2,080
-0.9% -$19.3K 0.02% 885
2015
Q2
$2.66M Sell
234,106
-23,243
-9% -$264K 0.02% 843
2015
Q1
$2.48M Sell
257,349
-378
-0.1% -$3.64K 0.02% 822
2014
Q4
$2.4M Hold
257,727
0.02% 898
2014
Q3
$2.01M Hold
257,727
0.01% 946
2014
Q2
$2.38M Buy
257,727
+650
+0.3% +$6.01K 0.02% 919
2014
Q1
$2.19M Sell
257,077
-1,194
-0.5% -$10.2K 0.02% 939
2013
Q4
$2.18M Buy
258,271
+687
+0.3% +$5.8K 0.02% 932
2013
Q3
$1.88M Sell
257,584
-345
-0.1% -$2.51K 0.01% 968
2013
Q2
$1.57M Buy
+257,929
New +$1.57M 0.01% 1008