Mirae Asset Global Investments’s Bank of New York Mellon BK Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$16.1M Buy
176,853
+7,191
+4% +$655K 0.06% 265
2025
Q1
$14M Buy
169,662
+34,104
+25% +$2.82M 0.06% 261
2024
Q4
$10.5M Buy
135,558
+13,906
+11% +$1.08M 0.04% 304
2024
Q3
$8.72M Buy
121,652
+11,325
+10% +$812K 0.04% 319
2024
Q2
$6.57M Sell
110,327
-127,220
-54% -$7.57M 0.03% 336
2024
Q1
$11.8M Buy
237,547
+14,766
+7% +$736K 0.03% 566
2023
Q4
$11.6M Buy
222,781
+40,969
+23% +$2.13M 0.02% 593
2023
Q3
$7.75M Sell
181,812
-12,333
-6% -$526K 0.02% 716
2023
Q2
$8.64M Sell
194,145
-43,858
-18% -$1.95M 0.02% 712
2023
Q1
$10.8M Sell
238,003
-24,537
-9% -$1.11M 0.03% 611
2022
Q4
$12M Buy
262,540
+115,935
+79% +$5.28M 0.03% 533
2022
Q3
$5.65M Buy
146,605
+10,089
+7% +$389K 0.02% 759
2022
Q2
$5.69M Buy
136,516
+35,639
+35% +$1.49M 0.01% 799
2022
Q1
$5.01M Buy
100,877
+24,831
+33% +$1.23M 0.01% 872
2021
Q4
$4.42M Buy
76,046
+15,525
+26% +$902K 0.01% 920
2021
Q3
$3.14M Sell
60,521
-5,989
-9% -$310K 0.01% 986
2021
Q2
$3.41M Buy
66,510
+8,787
+15% +$450K 0.01% 922
2021
Q1
$2.73M Buy
57,723
+1,088
+2% +$51.5K 0.01% 884
2020
Q4
$2.4M Sell
56,635
-179
-0.3% -$7.6K 0.01% 864
2020
Q3
$1.95M Buy
56,814
+18,571
+49% +$638K 0.01% 784
2020
Q2
$1.48M Sell
38,243
-5,487
-13% -$212K 0.01% 784
2020
Q1
$1.47M Buy
43,730
+17,904
+69% +$603K 0.01% 727
2019
Q4
$1.3M Buy
25,826
+1,786
+7% +$89.9K 0.01% 872
2019
Q3
$1.09M Buy
24,040
+2,155
+10% +$97.4K 0.01% 889
2019
Q2
$965K Sell
21,885
-1,523
-7% -$67.2K 0.01% 919
2019
Q1
$1.18M Buy
23,408
+6,625
+39% +$334K 0.01% 785
2018
Q4
$790K Sell
16,783
-8,762
-34% -$412K 0.01% 839
2018
Q3
$1.3M Buy
25,545
+20,564
+413% +$1.05M 0.01% 764
2018
Q2
$269K Buy
4,981
+115
+2% +$6.21K ﹤0.01% 713
2018
Q1
$251K Sell
4,866
-929
-16% -$47.9K ﹤0.01% 676
2017
Q4
$313K Buy
5,795
+126
+2% +$6.81K ﹤0.01% 620
2017
Q3
$300K Buy
5,669
+342
+6% +$18.1K 0.01% 597
2017
Q2
$271K Buy
5,327
+906
+20% +$46.1K ﹤0.01% 593
2017
Q1
$209K Buy
+4,421
New +$209K ﹤0.01% 624
2015
Q3
Sell
-4,708
Closed -$198K 441
2015
Q2
$198K Buy
+4,708
New +$198K 0.01% 452