Mirae Asset Global Investments’s Discover Financial Services DFS Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
Sell
-30,217
Closed -$4.8M 1597
2025
Q1
$4.8M Buy
30,217
+2,751
+10% +$437K 0.02% 462
2024
Q4
$4.78M Buy
27,466
+6,599
+32% +$1.15M 0.02% 455
2024
Q3
$2.91M Buy
20,867
+3,949
+23% +$550K 0.01% 521
2024
Q2
$2.09M Sell
16,918
-32,187
-66% -$3.98M 0.01% 563
2024
Q1
$5.16M Buy
49,105
+13,093
+36% +$1.38M 0.01% 883
2023
Q4
$4.05M Sell
36,012
-15,420
-30% -$1.73M 0.01% 954
2023
Q3
$4.46M Buy
51,432
+4,090
+9% +$354K 0.01% 892
2023
Q2
$5.53M Sell
47,342
-1,815
-4% -$212K 0.01% 863
2023
Q1
$4.86M Buy
49,157
+4,850
+11% +$479K 0.01% 871
2022
Q4
$4.33M Buy
44,307
+10,703
+32% +$1.05M 0.01% 872
2022
Q3
$3.06M Buy
33,604
+3,559
+12% +$324K 0.01% 975
2022
Q2
$2.84M Sell
30,045
-20,311
-40% -$1.92M 0.01% 1022
2022
Q1
$5.55M Buy
50,356
+13,931
+38% +$1.54M 0.01% 836
2021
Q4
$4.21M Buy
36,425
+11,495
+46% +$1.33M 0.01% 929
2021
Q3
$3.06M Buy
24,930
+3,929
+19% +$483K 0.01% 995
2021
Q2
$2.48M Buy
21,001
+1,037
+5% +$123K 0.01% 1004
2021
Q1
$1.9M Sell
19,964
-13,161
-40% -$1.25M 0.01% 971
2020
Q4
$3M Sell
33,125
-18,961
-36% -$1.72M 0.01% 791
2020
Q3
$3.01M Sell
52,086
-4,391
-8% -$254K 0.02% 672
2020
Q2
$2.83M Buy
56,477
+15,750
+39% +$789K 0.02% 622
2020
Q1
$1.45M Buy
40,727
+3,364
+9% +$120K 0.01% 730
2019
Q4
$3.17M Buy
37,363
+5,223
+16% +$443K 0.02% 619
2019
Q3
$2.61M Sell
32,140
-1,712
-5% -$139K 0.02% 634
2019
Q2
$2.63M Sell
33,852
-4,301
-11% -$334K 0.02% 628
2019
Q1
$2.72M Buy
38,153
+5,444
+17% +$388K 0.02% 569
2018
Q4
$1.93M Sell
32,709
-2,267
-6% -$134K 0.02% 613
2018
Q3
$2.67M Sell
34,976
-184
-0.5% -$14.1K 0.02% 578
2018
Q2
$2.48M Sell
35,160
-2,280
-6% -$161K 0.03% 318
2018
Q1
$2.69M Buy
37,440
+1,583
+4% +$114K 0.04% 310
2017
Q4
$2.76M Sell
35,857
-9,469
-21% -$728K 0.04% 295
2017
Q3
$2.92M Buy
45,326
+16,116
+55% +$1.04M 0.05% 267
2017
Q2
$1.82M Sell
29,210
-4,830
-14% -$300K 0.03% 327
2017
Q1
$2.33M Sell
34,040
-3,160
-8% -$216K 0.04% 249
2016
Q4
$2.68M Buy
+37,200
New +$2.68M 0.06% 220