Mirae Asset Global Investments’s China Life Insurance Company Ltd. LFC Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q3
Sell
-83,785
Closed -$724K 2707
2022
Q2
$724K Sell
83,785
-14,261
-15% -$123K ﹤0.01% 1576
2022
Q1
$744K Buy
98,046
+13,634
+16% +$103K ﹤0.01% 1384
2021
Q4
$695K Buy
84,412
+16,959
+25% +$140K ﹤0.01% 1388
2021
Q3
$550K Buy
67,453
+9,475
+16% +$77.3K ﹤0.01% 1468
2021
Q2
$577K Buy
57,978
+11,985
+26% +$119K ﹤0.01% 1415
2021
Q1
$479K Buy
45,993
+12,409
+37% +$129K ﹤0.01% 1313
2020
Q4
$371K Buy
33,584
+6,390
+23% +$70.6K ﹤0.01% 1393
2020
Q3
$308K Buy
27,194
+9,503
+54% +$108K ﹤0.01% 1333
2020
Q2
$179K Buy
17,691
+1,900
+12% +$19.2K ﹤0.01% 1408
2020
Q1
$154K Buy
15,791
+4,000
+34% +$39K ﹤0.01% 1357
2019
Q4
$163K Buy
+11,791
New +$163K ﹤0.01% 1445
2018
Q4
Sell
-17,774
Closed -$202K 1365
2018
Q3
$202K Buy
17,774
+1,427
+9% +$16.2K ﹤0.01% 1285
2018
Q2
$209K Sell
16,347
-4,346
-21% -$55.6K ﹤0.01% 752
2018
Q1
$289K Sell
20,693
-4,461
-18% -$62.3K ﹤0.01% 653
2017
Q4
$393K Sell
25,154
-1,919
-7% -$30K 0.01% 596
2017
Q3
$407K Buy
27,073
+683
+3% +$10.3K 0.01% 556
2017
Q2
$404K Buy
26,390
+2,529
+11% +$38.7K 0.01% 534
2017
Q1
$366K Buy
23,861
+232
+1% +$3.56K 0.01% 520
2016
Q4
$304K Buy
23,629
+2,977
+14% +$38.3K 0.01% 454
2016
Q3
$270K Sell
20,652
-18,428
-47% -$241K 0.01% 492
2016
Q2
$421K Buy
39,080
+8,561
+28% +$92.2K 0.01% 424
2016
Q1
$375K Buy
30,519
+8,156
+36% +$100K 0.01% 404
2015
Q4
$357K Sell
22,363
-400
-2% -$6.39K 0.01% 385
2015
Q3
$395K Sell
22,763
-2,787
-11% -$48.4K 0.02% 358
2015
Q2
$556K Buy
25,550
+518
+2% +$11.3K 0.02% 365
2015
Q1
$551K Sell
25,032
-16,392
-40% -$361K 0.02% 363
2014
Q4
$810K Sell
41,424
-4,380
-10% -$85.6K 0.03% 297
2014
Q3
$637K Sell
45,804
-9,837
-18% -$137K 0.02% 332
2014
Q2
$727K Buy
55,641
+4,266
+8% +$55.7K 0.02% 315
2014
Q1
$725K Sell
51,375
-4,200
-8% -$59.3K 0.02% 298
2013
Q4
$875K Sell
55,575
-7,401
-12% -$117K 0.04% 297
2013
Q3
$816K Sell
62,976
-9,300
-13% -$121K 0.04% 285
2013
Q2
$840K Buy
+72,276
New +$840K 0.04% 270