Metropolitan Life Insurance Company (MetLife)’s Valmont Industries VMI Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q1
Sell
-3,790
Closed -$949K 2691
2021
Q4
$949K Sell
3,790
-76
-2% -$19K 0.01% 1002
2021
Q3
$909K Sell
3,866
-142
-4% -$33.4K 0.01% 1030
2021
Q2
$946K Buy
4,008
+1
+0% +$236 0.01% 1056
2021
Q1
$952K Buy
4,007
+201
+5% +$47.8K 0.01% 963
2020
Q4
$666K Sell
3,806
-119
-3% -$20.8K 0.01% 1177
2020
Q3
$487K Sell
3,925
-207
-5% -$25.7K 0.01% 1233
2020
Q2
$469K Sell
4,132
-1,594
-28% -$181K 0.01% 1253
2020
Q1
$607K Sell
5,726
-311
-5% -$33K 0.01% 944
2019
Q4
$904K Buy
6,037
+10
+0.2% +$1.5K 0.01% 954
2019
Q3
$834K Sell
6,027
-216
-3% -$29.9K 0.01% 963
2019
Q2
$792K Sell
6,243
-21
-0.3% -$2.66K 0.01% 1033
2019
Q1
$815K Sell
6,264
-48
-0.8% -$6.25K 0.01% 995
2018
Q4
$700K Sell
6,312
-75
-1% -$8.32K 0.01% 1005
2018
Q3
$885K Sell
6,387
-105
-2% -$14.5K 0.02% 1000
2018
Q2
$979K Sell
6,492
-41
-0.6% -$6.18K 0.02% 932
2018
Q1
$956K Buy
6,533
+70
+1% +$10.2K 0.01% 923
2017
Q4
$1.07M Sell
6,463
-14,778
-70% -$2.45M 0.01% 855
2017
Q3
$3.36M Sell
21,241
-5
-0% -$790 0.02% 770
2017
Q2
$3.18M Sell
21,246
-445
-2% -$66.6K 0.02% 800
2017
Q1
$3.37M Sell
21,691
-45
-0.2% -$7K 0.02% 776
2016
Q4
$3.06M Sell
21,736
-238
-1% -$33.5K 0.02% 804
2016
Q3
$2.96M Sell
21,974
-131
-0.6% -$17.6K 0.02% 807
2016
Q2
$2.99M Buy
22,105
+1,372
+7% +$186K 0.02% 773
2016
Q1
$2.57M Buy
20,733
+369
+2% +$45.7K 0.02% 817
2015
Q4
$2.16M Sell
20,364
-93
-0.5% -$9.86K 0.02% 869
2015
Q3
$1.94M Sell
20,457
-440
-2% -$41.7K 0.01% 918
2015
Q2
$2.48M Sell
20,897
-341
-2% -$40.5K 0.02% 876
2015
Q1
$2.61M Buy
21,238
+231
+1% +$28.4K 0.02% 803
2014
Q4
$2.67M Sell
21,007
-1,181
-5% -$150K 0.02% 848
2014
Q3
$2.99M Sell
22,188
-390
-2% -$52.6K 0.02% 756
2014
Q2
$3.43M Sell
22,578
-894
-4% -$136K 0.02% 736
2014
Q1
$3.49M Buy
23,472
+459
+2% +$68.3K 0.02% 718
2013
Q4
$3.43M Buy
23,013
+101
+0.4% +$15.1K 0.02% 699
2013
Q3
$3.18M Buy
22,912
+2,751
+14% +$382K 0.02% 694
2013
Q2
$2.89M Buy
+20,161
New +$2.89M 0.02% 704