Migdal Insurance & Financial Holdings’s Johnson & Johnson JNJ Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$351K Sell
2,301
-698
-23% -$106K ﹤0.01% 190
2025
Q1
$497K Buy
2,999
+718
+31% +$119K 0.01% 177
2024
Q4
$330K Buy
2,281
+171
+8% +$24.7K ﹤0.01% 186
2024
Q3
$342K Sell
2,110
-57
-3% -$9.24K 0.01% 192
2024
Q2
$317K Sell
2,167
-1,176
-35% -$172K 0.01% 198
2024
Q1
$529K Sell
3,343
-11,093
-77% -$1.76M 0.01% 172
2023
Q4
$2.26M Buy
14,436
+10,653
+282% +$1.67M 0.05% 110
2023
Q3
$592K Buy
3,783
+3,628
+2,341% +$568K 0.01% 179
2023
Q2
$26K Hold
155
﹤0.01% 365
2023
Q1
$24K Sell
155
-322
-68% -$49.9K ﹤0.01% 404
2022
Q4
$85K Buy
477
+322
+208% +$57.4K ﹤0.01% 276
2022
Q3
$25K Buy
155
+80
+107% +$12.9K ﹤0.01% 378
2022
Q2
$13K Hold
75
﹤0.01% 503
2022
Q1
$13K Hold
75
﹤0.01% 536
2021
Q4
$13K Sell
75
-218
-74% -$37.8K ﹤0.01% 579
2021
Q3
$47K Buy
293
+218
+291% +$35K ﹤0.01% 457
2021
Q2
$12K Hold
75
﹤0.01% 531
2021
Q1
$12K Hold
75
﹤0.01% 628
2020
Q4
$12K Hold
75
﹤0.01% 613
2020
Q3
$11K Sell
75
-268
-78% -$39.3K ﹤0.01% 637
2020
Q2
$48K Sell
343
-129
-27% -$18.1K ﹤0.01% 545
2020
Q1
$62K Sell
472
-490
-51% -$64.4K ﹤0.01% 454
2019
Q4
$140K Sell
962
-1,845
-66% -$269K ﹤0.01% 455
2019
Q3
$363K Sell
2,807
-512
-15% -$66.2K 0.01% 371
2019
Q2
$462K Buy
3,319
+919
+38% +$128K 0.01% 318
2019
Q1
$336K Buy
2,400
+360
+18% +$50.4K 0.01% 345
2018
Q4
$263K Sell
2,040
-21,302
-91% -$2.75M 0.01% 329
2018
Q3
$3.23M Buy
23,342
+11,358
+95% +$1.57M 0.07% 190
2018
Q2
$1.45M Buy
11,984
+7,678
+178% +$932K 0.03% 241
2018
Q1
$552K Buy
4,306
+548
+15% +$70.3K 0.01% 261
2017
Q4
$525K Sell
3,758
-214
-5% -$29.9K 0.01% 220
2017
Q3
$516K Buy
3,972
+473
+14% +$61.4K 0.01% 214
2017
Q2
$464K Sell
3,499
-1,067
-23% -$141K 0.01% 206
2017
Q1
$569K Sell
4,566
-709
-13% -$88.4K 0.01% 194
2016
Q4
$609K Buy
+5,275
New +$609K 0.02% 181
2016
Q3
Sell
-321,660
Closed -$39M 115
2016
Q2
$39M Sell
321,660
-57,130
-15% -$6.93M 1.08% 22
2016
Q1
$41M Buy
+378,790
New +$41M 1.26% 20