Millennium Management’s CIT Group Inc. CIT Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q4
Sell
-534,420
Closed -$27.8M 6383
2021
Q3
$27.8M Buy
534,420
+248,370
+87% +$12.9M 0.02% 666
2021
Q2
$14.8M Buy
286,050
+241,205
+538% +$12.4M 0.01% 1064
2021
Q1
$2.31M Sell
44,845
-44,536
-50% -$2.29M ﹤0.01% 2713
2020
Q4
$3.21M Sell
89,381
-418,319
-82% -$15M ﹤0.01% 2209
2020
Q3
$8.99K Buy
507,700
+60,412
+14% +$1.07K 0.01% 1030
2020
Q2
$9.27M Buy
447,288
+22,863
+5% +$474K 0.01% 989
2020
Q1
$7.33M Buy
424,425
+150,103
+55% +$2.59M 0.02% 823
2019
Q4
$12.5M Buy
274,322
+260,573
+1,895% +$11.9M 0.02% 934
2019
Q3
$622K Sell
13,749
-820,467
-98% -$37.1M ﹤0.01% 2563
2019
Q2
$43.8M Buy
+834,216
New +$43.8M 0.07% 329
2019
Q1
Sell
-435,863
Closed -$16.7M 3936
2018
Q4
$16.7M Sell
435,863
-1,153,945
-73% -$44.2M 0.03% 719
2018
Q3
$82.1M Buy
1,589,808
+210,330
+15% +$10.9M 0.1% 232
2018
Q2
$69.5M Buy
1,379,478
+1,056,190
+327% +$53.2M 0.09% 267
2018
Q1
$16.6M Buy
323,288
+169,822
+111% +$8.75M 0.02% 946
2017
Q4
$7.56M Sell
153,466
-78,936
-34% -$3.89M 0.01% 1426
2017
Q3
$11.4M Buy
+232,402
New +$11.4M 0.02% 1091
2017
Q2
Sell
-1,600,294
Closed -$68.7M 3866
2017
Q1
$68.7M Sell
1,600,294
-166,329
-9% -$7.14M 0.13% 209
2016
Q4
$75.4M Buy
1,766,623
+1,562,424
+765% +$66.7M 0.16% 154
2016
Q3
$7.41M Buy
204,199
+86,705
+74% +$3.15M 0.01% 1020
2016
Q2
$3.75M Buy
+117,494
New +$3.75M 0.01% 1313
2016
Q1
Sell
-542,665
Closed -$21.5M 3685
2015
Q4
$21.5M Buy
542,665
+447,272
+469% +$17.8M 0.05% 533
2015
Q3
$3.82M Buy
+95,393
New +$3.82M 0.01% 1379
2015
Q2
Sell
-584,436
Closed -$26.4M 3703
2015
Q1
$26.4M Buy
584,436
+128,321
+28% +$5.79M 0.05% 515
2014
Q4
$21.8M Sell
456,115
-112,887
-20% -$5.4M 0.05% 550
2014
Q3
$26.2M Buy
569,002
+413,098
+265% +$19M 0.07% 374
2014
Q2
$7.13M Sell
155,904
-570,616
-79% -$26.1M 0.02% 913
2014
Q1
$35.6M Buy
726,520
+667,914
+1,140% +$32.7M 0.1% 217
2013
Q4
$3.06M Sell
58,606
-634,383
-92% -$33.1M 0.01% 1222
2013
Q3
$33.8M Sell
692,989
-332,825
-32% -$16.2M 0.11% 158
2013
Q2
$47.8M Buy
+1,025,814
New +$47.8M 0.15% 77