Mirae Asset Global Investments
CHTR icon

Mirae Asset Global Investments’s Charter Communications CHTR Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$17.9M Buy
43,721
+3,094
+8% +$1.26M 0.06% 245
2025
Q1
$15M Buy
40,627
+6,140
+18% +$2.27M 0.06% 243
2024
Q4
$12M Buy
34,487
+3,629
+12% +$1.26M 0.05% 269
2024
Q3
$10.1M Buy
30,858
+5,758
+23% +$1.88M 0.04% 286
2024
Q2
$7.38M Sell
25,100
-102,931
-80% -$30.3M 0.04% 310
2024
Q1
$42.6M Sell
128,031
-12,921
-9% -$4.29M 0.09% 210
2023
Q4
$54.8M Sell
140,952
-5,063
-3% -$1.97M 0.11% 184
2023
Q3
$64.2M Buy
146,015
+23,010
+19% +$10.1M 0.14% 151
2023
Q2
$45.2M Sell
123,005
-9,207
-7% -$3.38M 0.1% 205
2023
Q1
$47.3M Buy
132,212
+1,594
+1% +$570K 0.11% 188
2022
Q4
$44.3M Sell
130,618
-10,303
-7% -$3.49M 0.12% 206
2022
Q3
$42.7M Sell
140,921
-13,386
-9% -$4.06M 0.12% 195
2022
Q2
$72.3M Buy
154,307
+18,824
+14% +$8.82M 0.18% 121
2022
Q1
$73.9M Buy
135,483
+30,639
+29% +$16.7M 0.16% 141
2021
Q4
$68.4M Buy
104,844
+14,956
+17% +$9.75M 0.15% 156
2021
Q3
$65.4M Buy
89,888
+15,313
+21% +$11.1M 0.17% 144
2021
Q2
$53.8M Buy
74,575
+13,666
+22% +$9.86M 0.15% 177
2021
Q1
$37.6M Sell
60,909
-23,101
-27% -$14.3M 0.13% 211
2020
Q4
$55.6M Buy
84,010
+8,281
+11% +$5.48M 0.21% 115
2020
Q3
$47.3M Buy
75,729
+10,532
+16% +$6.58M 0.24% 87
2020
Q2
$33.3M Buy
65,197
+6,648
+11% +$3.39M 0.2% 117
2020
Q1
$25.5M Buy
58,549
+14,314
+32% +$6.25M 0.2% 105
2019
Q4
$21.5M Buy
44,235
+7,365
+20% +$3.57M 0.13% 184
2019
Q3
$15.2M Sell
36,870
-502
-1% -$207K 0.11% 225
2019
Q2
$14.7M Sell
37,372
-9,479
-20% -$3.74M 0.1% 227
2019
Q1
$16.4M Buy
46,851
+7,352
+19% +$2.57M 0.12% 183
2018
Q4
$11.3M Buy
39,499
+3,201
+9% +$912K 0.1% 214
2018
Q3
$11.8M Buy
36,298
+9,469
+35% +$3.08M 0.09% 230
2018
Q2
$7.89M Buy
26,829
+1,449
+6% +$426K 0.11% 128
2018
Q1
$7.9M Buy
25,380
+5,938
+31% +$1.85M 0.1% 132
2017
Q4
$6.53M Buy
19,442
+1,910
+11% +$642K 0.09% 157
2017
Q3
$6.35M Buy
17,532
+3,951
+29% +$1.43M 0.12% 142
2017
Q2
$4.57M Buy
13,581
+4,324
+47% +$1.45M 0.08% 165
2017
Q1
$3.03M Buy
9,257
+8,038
+659% +$2.63M 0.06% 219
2016
Q4
$351K Sell
1,219
-49
-4% -$14.1K 0.01% 440
2016
Q3
$342K Buy
+1,268
New +$342K 0.01% 482