Mirae Asset Global Investments’s Grupo Aeroportuario del Pacifico PAC Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$57.6K Sell
251
-482
-66% -$111K ﹤0.01% 1235
2025
Q1
$137K Sell
733
-78
-10% -$14.6K ﹤0.01% 1089
2024
Q4
$144K Buy
811
+237
+41% +$42.1K ﹤0.01% 1096
2024
Q3
$102K Buy
574
+28
+5% +$4.98K ﹤0.01% 1181
2024
Q2
$84.9K Buy
+546
New +$84.9K ﹤0.01% 1161
2021
Q3
Sell
-3,694
Closed -$395K 1776
2021
Q2
$395K Sell
3,694
-238
-6% -$25.4K ﹤0.01% 1520
2021
Q1
$413K Sell
3,932
-199
-5% -$20.9K ﹤0.01% 1349
2020
Q4
$460K Sell
4,131
-329
-7% -$36.6K ﹤0.01% 1339
2020
Q3
$358K Buy
4,460
+30
+0.7% +$2.41K ﹤0.01% 1301
2020
Q2
$319K Buy
4,430
+612
+16% +$44.1K ﹤0.01% 1280
2020
Q1
$206K Sell
3,818
-659
-15% -$35.6K ﹤0.01% 1305
2019
Q4
$531K Buy
4,477
+104
+2% +$12.3K ﹤0.01% 1193
2019
Q3
$422K Buy
4,373
+159
+4% +$15.3K ﹤0.01% 1227
2019
Q2
$440K Sell
4,214
-114,877
-96% -$12M ﹤0.01% 1165
2019
Q1
$10.6M Buy
+119,091
New +$10.6M 0.08% 243
2018
Q4
Sell
-4,006
Closed -$437K 1331
2018
Q3
$437K Sell
4,006
-157
-4% -$17.1K ﹤0.01% 1061
2018
Q2
$386K Sell
4,163
-559
-12% -$51.8K 0.01% 662
2018
Q1
$471K Buy
4,722
+1,224
+35% +$122K 0.01% 598
2017
Q4
$360K Sell
3,498
-200
-5% -$20.6K ﹤0.01% 605
2017
Q3
$379K Buy
3,698
+134
+4% +$13.7K 0.01% 566
2017
Q2
$401K Buy
3,564
+357
+11% +$40.2K 0.01% 536
2017
Q1
$311K Sell
3,207
-6,435
-67% -$624K 0.01% 548
2016
Q4
$796K Buy
9,642
+1,497
+18% +$124K 0.02% 349
2016
Q3
$774K Buy
8,145
+1,019
+14% +$96.8K 0.02% 379
2016
Q2
$731K Buy
7,126
+4,350
+157% +$446K 0.02% 353
2016
Q1
$246K Sell
2,776
-29
-1% -$2.57K 0.01% 434
2015
Q4
$260K Sell
2,805
-62
-2% -$5.75K 0.01% 410
2015
Q3
$249K Sell
2,867
-94
-3% -$8.16K 0.01% 396
2015
Q2
$203K Buy
2,961
+461
+18% +$31.6K 0.01% 450
2015
Q1
$164K Hold
2,500
0.01% 460
2014
Q4
$158K Sell
2,500
-1,600
-39% -$101K 0.01% 430
2014
Q3
$277K Buy
4,100
+1,620
+65% +$109K 0.01% 410
2014
Q2
$168K Hold
2,480
﹤0.01% 407
2014
Q1
$145K Buy
+2,480
New +$145K ﹤0.01% 407
2013
Q3
Sell
-12,900
Closed -$656K 433
2013
Q2
$656K Buy
+12,900
New +$656K 0.03% 308