Mirae Asset Global Investments
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Mirae Asset Global Investments’s General Mills GIS Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$29.7M Buy
574,039
+51,507
+10% +$2.67M 0.1% 160
2025
Q1
$30.9M Buy
522,532
+464,083
+794% +$27.4M 0.13% 136
2024
Q4
$3.73M Buy
58,449
+11,160
+24% +$712K 0.02% 509
2024
Q3
$3.52M Buy
47,289
+8,053
+21% +$599K 0.02% 485
2024
Q2
$2.5M Sell
39,236
-138,355
-78% -$8.81M 0.01% 524
2024
Q1
$14.3M Buy
177,591
+21,683
+14% +$1.75M 0.03% 493
2023
Q4
$10.2M Buy
155,908
+691
+0.4% +$45K 0.02% 641
2023
Q3
$9.93M Sell
155,217
-47,685
-24% -$3.05M 0.02% 613
2023
Q2
$15.6M Sell
202,902
-6,333
-3% -$486K 0.03% 492
2023
Q1
$17.9M Buy
209,235
+10,952
+6% +$936K 0.04% 431
2022
Q4
$16.6M Buy
198,283
+13,823
+7% +$1.16M 0.04% 432
2022
Q3
$14.1M Buy
184,460
+24,425
+15% +$1.87M 0.04% 447
2022
Q2
$12.1M Buy
160,035
+40,952
+34% +$3.09M 0.03% 535
2022
Q1
$8.06M Sell
119,083
-205,846
-63% -$13.9M 0.02% 730
2021
Q4
$21.9M Buy
324,929
+18,424
+6% +$1.24M 0.05% 419
2021
Q3
$18.3M Buy
306,505
+15,301
+5% +$915K 0.05% 430
2021
Q2
$17.7M Buy
291,204
+7,826
+3% +$477K 0.05% 429
2021
Q1
$17.4M Sell
283,378
-43,838
-13% -$2.69M 0.06% 363
2020
Q4
$19.2M Buy
327,216
+29,790
+10% +$1.75M 0.07% 323
2020
Q3
$18.3M Buy
297,426
+15,149
+5% +$934K 0.09% 262
2020
Q2
$17.4M Sell
282,277
-38,961
-12% -$2.4M 0.1% 224
2020
Q1
$17M Sell
321,238
-2,991
-0.9% -$158K 0.13% 161
2019
Q4
$17.4M Buy
324,229
+33,442
+12% +$1.79M 0.11% 226
2019
Q3
$16M Buy
290,787
+13,682
+5% +$754K 0.11% 217
2019
Q2
$14.5M Sell
277,105
-213,313
-43% -$11.2M 0.1% 230
2019
Q1
$25.4M Buy
490,418
+299,256
+157% +$15.5M 0.19% 125
2018
Q4
$7.44M Buy
191,162
+175
+0.1% +$6.82K 0.07% 294
2018
Q3
$8.2M Buy
190,987
+163,421
+593% +$7.02M 0.06% 313
2018
Q2
$1.23M Buy
27,566
+6,070
+28% +$270K 0.02% 477
2018
Q1
$968K Buy
21,496
+8,494
+65% +$382K 0.01% 503
2017
Q4
$771K Buy
13,002
+2,228
+21% +$132K 0.01% 519
2017
Q3
$563K Buy
10,774
+2,569
+31% +$134K 0.01% 520
2017
Q2
$451K Buy
+8,205
New +$451K 0.01% 521
2016
Q3
Sell
-9,230
Closed -$659K 557
2016
Q2
$659K Sell
9,230
-7,830
-46% -$559K 0.02% 364
2016
Q1
$1.08M Buy
+17,060
New +$1.08M 0.03% 303
2013
Q4
Sell
-16,900
Closed -$810K 429
2013
Q3
$810K Buy
+16,900
New +$810K 0.04% 286