Mirae Asset Global Investments’s PLDT PHI Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2018
Q1
Sell
-13,114
Closed -$394K 758
2017
Q4
$394K Sell
13,114
-903
-6% -$27.1K 0.01% 595
2017
Q3
$447K Buy
14,017
+526
+4% +$16.8K 0.01% 543
2017
Q2
$476K Buy
13,491
+1,571
+13% +$55.4K 0.01% 510
2017
Q1
$383K Buy
11,920
+258
+2% +$8.29K 0.01% 513
2016
Q4
$321K Buy
11,662
+1,898
+19% +$52.2K 0.01% 449
2016
Q3
$348K Buy
9,764
+1,172
+14% +$41.8K 0.01% 480
2016
Q2
$383K Buy
+8,592
New +$383K 0.01% 435
2014
Q4
Sell
-2,903
Closed -$200K 463
2014
Q3
$200K Buy
+2,903
New +$200K 0.01% 441
2014
Q1
Sell
-15,255
Closed -$916K 431
2013
Q4
$916K Buy
15,255
+1,400
+10% +$84.1K 0.04% 292
2013
Q3
$940K Sell
13,855
-9,100
-40% -$617K 0.04% 264
2013
Q2
$1.56M Buy
+22,955
New +$1.56M 0.08% 160