Mirae Asset Global Investments’s BP BP Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2020
Q3
Sell
-214,833
Closed -$5.01M 1484
2020
Q2
$5.01M Buy
+214,833
New +$5.01M 0.03% 500
2019
Q3
Sell
-30,973
Closed -$1.27M 1426
2019
Q2
$1.27M Buy
30,973
+25,315
+447% +$1.04M 0.01% 834
2019
Q1
$243K Sell
5,658
-11,564
-67% -$497K ﹤0.01% 1232
2018
Q4
$633K Sell
17,222
-3,415
-17% -$126K 0.01% 906
2018
Q3
$908K Sell
20,637
-850
-4% -$37.4K 0.01% 856
2018
Q2
$923K Sell
21,487
-12,255
-36% -$526K 0.01% 523
2018
Q1
$1.27M Buy
33,742
+2,784
+9% +$105K 0.02% 456
2017
Q4
$1.19M Buy
30,958
+8,422
+37% +$324K 0.02% 447
2017
Q3
$781K Buy
22,536
+1,252
+6% +$43.4K 0.01% 464
2017
Q2
$654K Buy
21,284
+6,814
+47% +$209K 0.01% 453
2017
Q1
$436K Buy
14,470
+502
+4% +$15.1K 0.01% 487
2016
Q4
$447K Sell
13,968
-2,858
-17% -$91.5K 0.01% 409
2016
Q3
$498K Buy
16,826
+7,564
+82% +$224K 0.01% 441
2016
Q2
$277K Hold
9,262
0.01% 459
2016
Q1
$235K Sell
9,262
-484
-5% -$12.3K 0.01% 440
2015
Q4
$256K Sell
9,746
-356
-4% -$9.35K 0.01% 412
2015
Q3
$260K Buy
10,102
+475
+5% +$12.2K 0.01% 386
2015
Q2
$324K Sell
9,627
-497
-5% -$16.7K 0.01% 407
2015
Q1
$329K Buy
10,124
+121
+1% +$3.93K 0.01% 397
2014
Q4
$316K Sell
10,003
-2,308
-19% -$72.9K 0.01% 388
2014
Q3
$442K Sell
12,311
-22,422
-65% -$805K 0.02% 362
2014
Q2
$1.5M Sell
34,733
-1,467
-4% -$63.3K 0.03% 199
2014
Q1
$1.42M Sell
36,200
-2,689
-7% -$106K 0.04% 197
2013
Q4
$1.55M Buy
38,889
+5,245
+16% +$209K 0.07% 208
2013
Q3
$1.16M Sell
33,644
-5,673
-14% -$195K 0.05% 232
2013
Q2
$1.34M Buy
+39,317
New +$1.34M 0.07% 184