Mirae Asset Global Investments
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Mirae Asset Global Investments’s British American Tobacco BTI Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q1
Sell
-18,126
Closed -$678K 1587
2021
Q4
$678K Buy
18,126
+8,944
+97% +$335K ﹤0.01% 1393
2021
Q3
$324K Hold
9,182
﹤0.01% 1594
2021
Q2
$361K Sell
9,182
-497
-5% -$19.5K ﹤0.01% 1540
2021
Q1
$375K Sell
9,679
-444
-4% -$17.2K ﹤0.01% 1373
2020
Q4
$380K Sell
10,123
-463
-4% -$17.4K ﹤0.01% 1390
2020
Q3
$383K Sell
10,586
-218
-2% -$7.89K ﹤0.01% 1277
2020
Q2
$419K Sell
10,804
-3,004
-22% -$117K ﹤0.01% 1201
2020
Q1
$472K Sell
13,808
-1,422
-9% -$48.6K ﹤0.01% 1045
2019
Q4
$647K Sell
15,230
-568
-4% -$24.1K ﹤0.01% 1118
2019
Q3
$583K Buy
15,798
+6
+0% +$221 ﹤0.01% 1097
2019
Q2
$551K Buy
+15,792
New +$551K ﹤0.01% 1101
2019
Q1
Sell
-15,623
Closed -$498K 1307
2018
Q4
$498K Sell
15,623
-489
-3% -$15.6K ﹤0.01% 993
2018
Q3
$751K Buy
16,112
+2,475
+18% +$115K 0.01% 931
2018
Q2
$688K Sell
13,637
-55,369
-80% -$2.79M 0.01% 572
2018
Q1
$3.98M Sell
69,006
-57,083
-45% -$3.29M 0.05% 223
2017
Q4
$8.45M Buy
126,089
+7,679
+6% +$514K 0.11% 125
2017
Q3
$7.4M Buy
118,410
+19,870
+20% +$1.24M 0.13% 129
2017
Q2
$6.75M Buy
98,540
+1,150
+1% +$78.8K 0.12% 126
2017
Q1
$6.46M Buy
97,390
+45,900
+89% +$3.04M 0.12% 125
2016
Q4
$5.8M Sell
51,490
-608
-1% -$68.5K 0.13% 126
2016
Q3
$6.65M Buy
52,098
+4,959
+11% +$633K 0.14% 108
2016
Q2
$6.1M Sell
47,139
-5,312
-10% -$688K 0.16% 111
2016
Q1
$6.13M Sell
52,451
-1,005
-2% -$117K 0.17% 105
2015
Q4
$5.9M Buy
53,456
+9,680
+22% +$1.07M 0.2% 108
2015
Q3
$4.82M Buy
43,776
+176
+0.4% +$19.4K 0.2% 113
2015
Q2
$4.72M Buy
43,600
+900
+2% +$97.4K 0.15% 115
2015
Q1
$4.43M Buy
42,700
+4,630
+12% +$480K 0.15% 114
2014
Q4
$4.11M Buy
38,070
+5,970
+19% +$644K 0.15% 102
2014
Q3
$3.63M Buy
32,100
+1,500
+5% +$170K 0.13% 99
2014
Q2
$3.64M Buy
30,600
+2,600
+9% +$310K 0.08% 96
2014
Q1
$3.12M Buy
28,000
+4,400
+19% +$490K 0.08% 89
2013
Q4
$2.54M Buy
23,600
+2,300
+11% +$247K 0.11% 119
2013
Q3
$2.24M Buy
21,300
+2,600
+14% +$273K 0.1% 131
2013
Q2
$1.93M Buy
+18,700
New +$1.93M 0.1% 131