Mirae Asset Global Investments’s HSBC HSBC Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q2
Sell
-17,555
Closed -$601K 2416
2022
Q1
$601K Sell
17,555
-18,515
-51% -$634K ﹤0.01% 1426
2021
Q4
$1.09M Buy
36,070
+17,799
+97% +$537K ﹤0.01% 1276
2021
Q3
$478K Hold
18,271
﹤0.01% 1494
2021
Q2
$527K Sell
18,271
-988
-5% -$28.5K ﹤0.01% 1431
2021
Q1
$561K Sell
19,259
-882
-4% -$25.7K ﹤0.01% 1273
2020
Q4
$522K Sell
20,141
-927
-4% -$24K ﹤0.01% 1294
2020
Q3
$413K Buy
21,068
+5,392
+34% +$106K ﹤0.01% 1237
2020
Q2
$366K Sell
15,676
-638,212
-98% -$14.9M ﹤0.01% 1256
2020
Q1
$16.4M Buy
653,888
+639,405
+4,415% +$16M 0.13% 171
2019
Q4
$566K Sell
14,483
-540
-4% -$21.1K ﹤0.01% 1166
2019
Q3
$575K Sell
15,023
-847
-5% -$32.4K ﹤0.01% 1100
2019
Q2
$662K Buy
+15,870
New +$662K ﹤0.01% 1052
2019
Q1
Sell
-17,090
Closed -$677K 1331
2018
Q4
$677K Sell
17,090
-767
-4% -$30.4K 0.01% 892
2018
Q3
$748K Buy
17,857
+456
+3% +$19.1K 0.01% 932
2018
Q2
$773K Sell
17,401
-6,565
-27% -$292K 0.01% 548
2018
Q1
$1.07M Buy
23,966
+27
+0.1% +$1.2K 0.01% 490
2017
Q4
$1.13M Buy
23,939
+7,112
+42% +$336K 0.02% 456
2017
Q3
$759K Sell
16,827
-657
-4% -$29.6K 0.01% 472
2017
Q2
$741K Buy
17,484
+5,773
+49% +$245K 0.01% 430
2017
Q1
$432K Buy
11,711
+236
+2% +$8.71K 0.01% 491
2016
Q4
$417K Sell
11,475
-2,241
-16% -$81.4K 0.01% 419
2016
Q3
$466K Buy
13,716
+5,224
+62% +$177K 0.01% 455
2016
Q2
$237K Hold
8,492
0.01% 482
2016
Q1
$235K Buy
8,492
+972
+13% +$26.9K 0.01% 441
2015
Q4
$264K Sell
7,520
-224
-3% -$7.86K 0.01% 405
2015
Q3
$261K Sell
7,744
-674
-8% -$22.7K 0.01% 385
2015
Q2
$336K Sell
8,418
-315
-4% -$12.6K 0.01% 400
2015
Q1
$328K Buy
8,733
+377
+5% +$14.2K 0.01% 398
2014
Q4
$340K Sell
8,356
-812
-9% -$33K 0.01% 379
2014
Q3
$402K Buy
9,168
+464
+5% +$20.3K 0.01% 381
2014
Q2
$381K Buy
8,704
+116
+1% +$5.08K 0.01% 369
2014
Q1
$376K Sell
8,588
-580
-6% -$25.4K 0.01% 371
2013
Q4
$436K Sell
9,168
-1,625
-15% -$77.3K 0.02% 371
2013
Q3
$505K Sell
10,793
-2,321
-18% -$109K 0.02% 347
2013
Q2
$586K Buy
+13,114
New +$586K 0.03% 321