Metropolitan Life Insurance Company (MetLife)’s Sterling Bancorp STL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q1
Sell
-35,148
Closed -$906K 2828
2021
Q4
$906K Sell
35,148
-712
-2% -$18.4K 0.01% 1037
2021
Q3
$895K Sell
35,860
-1,234
-3% -$30.8K 0.01% 1048
2021
Q2
$920K Buy
37,094
+512
+1% +$12.7K 0.01% 1077
2021
Q1
$842K Buy
36,582
+1,750
+5% +$40.3K 0.01% 1081
2020
Q4
$626K Sell
34,832
-949
-3% -$17.1K 0.01% 1218
2020
Q3
$376K Sell
35,781
-1,894
-5% -$19.9K 0.01% 1395
2020
Q2
$442K Sell
37,675
-15,978
-30% -$187K 0.01% 1302
2020
Q1
$561K Sell
53,653
-3,006
-5% -$31.4K 0.01% 986
2019
Q4
$1.19M Sell
56,659
-535
-0.9% -$11.3K 0.02% 790
2019
Q3
$1.15M Sell
57,194
-2,820
-5% -$56.6K 0.02% 788
2019
Q2
$1.28M Sell
60,014
-808
-1% -$17.2K 0.02% 758
2019
Q1
$1.13M Sell
60,822
-3,390
-5% -$63.2K 0.02% 818
2018
Q4
$1.06M Sell
64,212
-74
-0.1% -$1.22K 0.02% 777
2018
Q3
$1.41M Sell
64,286
-669
-1% -$14.7K 0.02% 727
2018
Q2
$1.53M Sell
64,955
-60,623
-48% -$1.42M 0.02% 685
2018
Q1
$2.83M Buy
125,578
+1,471
+1% +$33.2K 0.04% 350
2017
Q4
$3.05M Buy
124,107
+35,005
+39% +$861K 0.04% 334
2017
Q3
$2.2M Hold
89,102
0.01% 910
2017
Q2
$2.07M Buy
89,102
+4,502
+5% +$105K 0.01% 933
2017
Q1
$2.01M Sell
84,600
-4,006
-5% -$94.9K 0.01% 956
2016
Q4
$2.07M Sell
88,606
-1,502
-2% -$35.1K 0.01% 956
2016
Q3
$1.58M Sell
90,108
-1,602
-2% -$28K 0.01% 1048
2016
Q2
$1.44M Buy
91,710
+8,594
+10% +$135K 0.01% 1066
2016
Q1
$1.32M Hold
83,116
0.01% 1053
2015
Q4
$1.35M Sell
83,116
-2,910
-3% -$47.2K 0.01% 1029
2015
Q3
$1.28M Sell
86,026
-415
-0.5% -$6.17K 0.01% 1068
2015
Q2
$1.27M Buy
86,441
+18,546
+27% +$273K 0.01% 1146
2015
Q1
$910K Buy
67,895
+1,645
+2% +$22K 0.01% 1248
2014
Q4
$953K Sell
66,250
-1,160
-2% -$16.7K 0.01% 1343
2014
Q3
$862K Sell
67,410
-2
-0% -$26 0.01% 1371
2014
Q2
$809K Hold
67,412
0.01% 1502
2014
Q1
$853K Hold
67,412
0.01% 1460
2013
Q4
$901K Buy
67,412
+35,060
+108% +$469K 0.01% 1393
2013
Q3
$352K Hold
32,352
﹤0.01% 1992
2013
Q2
$302K Buy
+32,352
New +$302K ﹤0.01% 2041