Mirae Asset Global Investments’s Ecopetrol EC Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$42.4K Buy
4,794
+366
+8% +$3.24K ﹤0.01% 1286
2025
Q1
$45.6K Buy
+4,428
New +$45.6K ﹤0.01% 1257
2024
Q4
Sell
-3,469
Closed -$31.3K 1609
2024
Q3
$31.3K Sell
3,469
-14
-0.4% -$126 ﹤0.01% 1372
2024
Q2
$38.9K Buy
+3,483
New +$38.9K ﹤0.01% 1291
2022
Q2
Sell
-339,174
Closed -$6.31M 2407
2022
Q1
$6.31M Sell
339,174
-64,803
-16% -$1.21M 0.01% 803
2021
Q4
$5.21M Buy
403,977
+27,909
+7% +$360K 0.01% 875
2021
Q3
$5.4M Sell
376,068
-19,825
-5% -$284K 0.01% 827
2021
Q2
$5.79M Sell
395,893
-685,933
-63% -$10M 0.02% 782
2021
Q1
$13.9M Buy
1,081,826
+198,060
+22% +$2.54M 0.05% 436
2020
Q4
$11.4M Sell
883,766
-32,857
-4% -$424K 0.04% 459
2020
Q3
$9.02M Buy
916,623
+452,359
+97% +$4.45M 0.04% 413
2020
Q2
$5.17M Sell
464,264
-27,534
-6% -$306K 0.03% 490
2020
Q1
$4.68M Sell
491,798
-28,492
-5% -$271K 0.04% 454
2019
Q4
$10.4M Sell
520,290
-12,153
-2% -$243K 0.06% 345
2019
Q3
$9.07M Buy
532,443
+27,674
+5% +$471K 0.06% 339
2019
Q2
$9.23M Sell
504,769
-124,883
-20% -$2.28M 0.06% 318
2019
Q1
$13.5M Buy
629,652
+1,673
+0.3% +$35.9K 0.1% 214
2018
Q4
$9.97M Sell
627,979
-11,292
-2% -$179K 0.09% 233
2018
Q3
$17.2M Buy
639,271
+628,971
+6,107% +$16.9M 0.13% 169
2018
Q2
$212K Sell
10,300
-326
-3% -$6.71K ﹤0.01% 750
2018
Q1
$205K Buy
+10,626
New +$205K ﹤0.01% 704
2016
Q3
Sell
-17,934
Closed -$171K 548
2016
Q2
$171K Hold
17,934
﹤0.01% 500
2016
Q1
$154K Hold
17,934
﹤0.01% 459
2015
Q4
$126K Buy
17,934
+45
+0.3% +$316 ﹤0.01% 442
2015
Q3
$154K Sell
17,889
-1,064
-6% -$9.16K 0.01% 417
2015
Q2
$252K Hold
18,953
0.01% 426
2015
Q1
$288K Buy
18,953
+33
+0.2% +$501 0.01% 414
2014
Q4
$324K Sell
18,920
-322
-2% -$5.51K 0.01% 384
2014
Q3
$602K Sell
19,242
-15,104
-44% -$473K 0.02% 337
2014
Q2
$1.24M Buy
34,346
+15,568
+83% +$561K 0.03% 223
2014
Q1
$766K Sell
18,778
-15,662
-45% -$639K 0.02% 291
2013
Q4
$1.32M Sell
34,440
-1,450
-4% -$55.7K 0.06% 231
2013
Q3
$1.65M Sell
35,890
-3,828
-10% -$176K 0.07% 175
2013
Q2
$1.67M Buy
+39,718
New +$1.67M 0.09% 144