Metropolitan Life Insurance Company (MetLife)’s Polaris PII Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q1
Sell
-12,050
Closed -$1.32M 2570
2021
Q4
$1.32M Sell
12,050
-218
-2% -$24K 0.02% 774
2021
Q3
$1.47M Sell
12,268
-555
-4% -$66.4K 0.02% 696
2021
Q2
$1.76M Buy
12,823
+1,497
+13% +$205K 0.02% 596
2021
Q1
$1.51M Buy
11,326
+587
+5% +$78.4K 0.02% 687
2020
Q4
$1.02M Sell
10,739
-228
-2% -$21.7K 0.02% 871
2020
Q3
$1.03M Sell
10,967
-559
-5% -$52.7K 0.02% 727
2020
Q2
$1.07M Sell
11,526
-6,149
-35% -$569K 0.02% 701
2020
Q1
$851K Sell
17,675
-945
-5% -$45.5K 0.02% 762
2019
Q4
$1.89M Buy
18,620
+37
+0.2% +$3.76K 0.03% 573
2019
Q3
$1.64M Sell
18,583
-760
-4% -$66.9K 0.03% 596
2019
Q2
$1.76M Sell
19,343
-69
-0.4% -$6.3K 0.03% 582
2019
Q1
$1.64M Sell
19,412
-299
-2% -$25.2K 0.03% 594
2018
Q4
$1.51M Sell
19,711
-87
-0.4% -$6.67K 0.03% 575
2018
Q3
$2M Sell
19,798
-244
-1% -$24.6K 0.03% 533
2018
Q2
$2.45M Buy
20,042
+411
+2% +$50.2K 0.04% 412
2018
Q1
$2.25M Buy
19,631
+247
+1% +$28.3K 0.03% 459
2017
Q4
$2.4M Sell
19,384
-38,052
-66% -$4.72M 0.03% 435
2017
Q3
$6.01M Sell
57,436
-326
-0.6% -$34.1K 0.04% 475
2017
Q2
$5.33M Buy
57,762
+752
+1% +$69.4K 0.04% 534
2017
Q1
$4.78M Sell
57,010
-1,090
-2% -$91.3K 0.03% 616
2016
Q4
$4.79M Sell
58,100
-382
-0.7% -$31.5K 0.03% 595
2016
Q3
$4.53M Sell
58,482
-726
-1% -$56.2K 0.03% 593
2016
Q2
$4.84M Buy
59,208
+1,237
+2% +$101K 0.04% 536
2016
Q1
$5.71M Buy
57,971
+1,071
+2% +$105K 0.04% 441
2015
Q4
$4.89M Sell
56,900
-111
-0.2% -$9.54K 0.04% 501
2015
Q3
$6.83M Sell
57,011
-151
-0.3% -$18.1K 0.05% 352
2015
Q2
$8.47M Buy
+57,162
New +$8.47M 0.06% 313
2015
Q1
Sell
-54,781
Closed -$8.29M 2380
2014
Q4
$8.29M Buy
54,781
+902
+2% +$136K 0.06% 323
2014
Q3
$8.07M Sell
53,879
-3,895
-7% -$583K 0.06% 321
2014
Q2
$7.52M Buy
57,774
+333
+0.6% +$43.4K 0.05% 365
2014
Q1
$8.03M Buy
57,441
+2,071
+4% +$289K 0.06% 353
2013
Q4
$8.06M Buy
55,370
+514
+0.9% +$74.9K 0.06% 345
2013
Q3
$7.09M Buy
54,856
+666
+1% +$86K 0.05% 360
2013
Q2
$5.15M Buy
+54,190
New +$5.15M 0.04% 440