Mirae Asset Global Investments
MBT

Mirae Asset Global Investments’s Mobile TeleSystems Public Joint Stock Company American Depositary Shares (Each representing 2 Shares MBT Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q3
Sell
-8,273
Closed -$23K 2725
2022
Q2
$23K Sell
8,273
-1,460,601
-99% -$4.06M ﹤0.01% 2394
2022
Q1
$2.14M Buy
1,468,874
+40,764
+3% +$59.4K ﹤0.01% 1140
2021
Q4
$11.4M Buy
1,428,110
+287,518
+25% +$2.29M 0.02% 649
2021
Q3
$11M Buy
1,140,592
+21,577
+2% +$208K 0.03% 610
2021
Q2
$10.4M Buy
1,119,015
+57,935
+5% +$536K 0.03% 613
2021
Q1
$8.85M Sell
1,061,080
-236,236
-18% -$1.97M 0.03% 565
2020
Q4
$11.6M Buy
1,297,316
+29,781
+2% +$267K 0.04% 452
2020
Q3
$11.1M Buy
1,267,535
+112,406
+10% +$982K 0.06% 355
2020
Q2
$10.6M Buy
1,155,129
+237,132
+26% +$2.18M 0.06% 321
2020
Q1
$6.98M Buy
917,997
+31,324
+4% +$238K 0.05% 352
2019
Q4
$9M Buy
886,673
+57,935
+7% +$588K 0.06% 377
2019
Q3
$6.71M Buy
828,738
+797,824
+2,581% +$6.46M 0.05% 406
2019
Q2
$288K Sell
30,914
-800
-3% -$7.45K ﹤0.01% 1289
2019
Q1
$240K Buy
31,714
+3,900
+14% +$29.5K ﹤0.01% 1236
2018
Q4
$195K Sell
27,814
-31,006
-53% -$217K ﹤0.01% 1223
2018
Q3
$502K Sell
58,820
-56,785
-49% -$485K ﹤0.01% 1022
2018
Q2
$1.02M Sell
115,605
-102,800
-47% -$908K 0.01% 506
2018
Q1
$2.49M Buy
218,405
+35,913
+20% +$409K 0.03% 324
2017
Q4
$1.86M Buy
182,492
+30,823
+20% +$314K 0.02% 360
2017
Q3
$1.58M Sell
151,669
-1,600
-1% -$16.7K 0.03% 368
2017
Q2
$1.29M Sell
153,269
-36,600
-19% -$307K 0.02% 372
2017
Q1
$2.09M Buy
189,869
+10,630
+6% +$117K 0.04% 272
2016
Q4
$1.63M Sell
179,239
-3,361
-2% -$30.6K 0.04% 287
2016
Q3
$1.39M Buy
182,600
+29,539
+19% +$225K 0.03% 284
2016
Q2
$1.27M Buy
153,061
+1,582
+1% +$13.1K 0.03% 291
2016
Q1
$1.23M Buy
151,479
+123,193
+436% +$996K 0.03% 285
2015
Q4
$175K Buy
28,286
+4,025
+17% +$24.9K 0.01% 436
2015
Q3
$175K Sell
24,261
-60,944
-72% -$440K 0.01% 416
2015
Q2
$833K Buy
85,205
+13,385
+19% +$131K 0.03% 332
2015
Q1
$725K Buy
71,820
+25,739
+56% +$260K 0.02% 347
2014
Q4
$331K Sell
46,081
-9,283
-17% -$66.7K 0.01% 382
2014
Q3
$828K Sell
55,364
-64,299
-54% -$962K 0.03% 304
2014
Q2
$2.36M Sell
119,663
-24,869
-17% -$491K 0.05% 145
2014
Q1
$2.53M Sell
144,532
-259,852
-64% -$4.55M 0.06% 117
2013
Q4
$8.75M Sell
404,384
-370,065
-48% -$8M 0.37% 48
2013
Q3
$17.2M Buy
774,449
+23,810
+3% +$530K 0.78% 34
2013
Q2
$14.2M Buy
+750,639
New +$14.2M 0.75% 29