Mirae Asset Global Investments’s BHP BHP Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q1
Sell
-13,997
Closed -$754K 1584
2021
Q4
$754K Sell
13,997
-53,117
-79% -$2.86M ﹤0.01% 1370
2021
Q3
$3.2M Sell
67,114
-1,066
-2% -$50.9K 0.01% 978
2021
Q2
$4.43M Sell
68,180
-3,160
-4% -$205K 0.01% 845
2021
Q1
$4.42M Buy
71,340
+63,529
+813% +$3.93M 0.02% 754
2020
Q4
$455K Sell
7,811
-353
-4% -$20.6K ﹤0.01% 1342
2020
Q3
$377K Sell
8,164
-3,295
-29% -$152K ﹤0.01% 1284
2020
Q2
$508K Buy
11,459
+441
+4% +$19.6K ﹤0.01% 1134
2020
Q1
$361K Sell
11,018
-41,855
-79% -$1.37M ﹤0.01% 1139
2019
Q4
$2.58M Buy
52,873
+54
+0.1% +$2.64K 0.02% 679
2019
Q3
$2.33M Sell
52,819
-3,090
-6% -$136K 0.02% 665
2019
Q2
$2.9M Buy
55,909
+41,876
+298% +$2.17M 0.02% 609
2019
Q1
$684K Sell
14,033
-3,492
-20% -$170K 0.01% 949
2018
Q4
$755K Buy
17,525
+117
+0.7% +$5.04K 0.01% 857
2018
Q3
$774K Sell
17,408
-4,172
-19% -$185K 0.01% 919
2018
Q2
$963K Sell
21,580
-6,467
-23% -$289K 0.01% 514
2018
Q1
$1.11M Sell
28,047
-414
-1% -$16.4K 0.01% 474
2017
Q4
$1.17M Buy
28,461
+8,478
+42% +$348K 0.02% 450
2017
Q3
$722K Buy
19,983
+681
+4% +$24.6K 0.01% 486
2017
Q2
$613K Buy
19,302
+6,739
+54% +$214K 0.01% 465
2017
Q1
$407K Sell
12,563
-1,813
-13% -$58.7K 0.01% 502
2016
Q4
$459K Sell
14,376
-2,509
-15% -$80.1K 0.01% 407
2016
Q3
$522K Buy
16,885
+5,284
+46% +$163K 0.01% 434
2016
Q2
$296K Hold
11,601
0.01% 454
2016
Q1
$268K Buy
11,601
+2,345
+25% +$54.2K 0.01% 424
2015
Q4
$212K Sell
9,256
-448
-5% -$10.3K 0.01% 425
2015
Q3
$273K Buy
9,704
+95
+1% +$2.67K 0.01% 379
2015
Q2
$349K Sell
9,609
-1,490
-13% -$54.1K 0.01% 397
2015
Q1
$436K Buy
11,099
+1,915
+21% +$75.2K 0.01% 376
2014
Q4
$367K Sell
9,184
-769
-8% -$30.7K 0.01% 370
2014
Q3
$495K Buy
9,953
+1,537
+18% +$76.4K 0.02% 351
2014
Q2
$487K Sell
8,416
-371
-4% -$21.5K 0.01% 347
2014
Q1
$504K Sell
8,787
-473
-5% -$27.1K 0.01% 342
2013
Q4
$534K Sell
9,260
-1,419
-13% -$81.8K 0.02% 346
2013
Q3
$600K Sell
10,679
-1,656
-13% -$93K 0.03% 320
2013
Q2
$602K Buy
+12,335
New +$602K 0.03% 320