Mirae Asset Global Investments’s State Street Consumer Discretionary Select Sector SPDR ETF XLY Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
Sell
-1,300
Closed -$155K 1745
2025
Q4
$155K Sell
1,300
-1,400
-52% -$166K ﹤0.01% 1194
2025
Q3
$324K Buy
2,700
+1,100
+69% +$126K ﹤0.01% 1066
2025
Q2
$174K Sell
1,600
-1,120
-41% -$115K ﹤0.01% 1065
2025
Q1
$268K Sell
2,720
-146,300
-98% -$15.9M ﹤0.01% 1003
2024
Q4
$16.8M Buy
149,020
+141,920
+1,999% +$15.2M 0.07% 208
2024
Q3
$713K Sell
7,100
-54,480
-88% -$5.09M ﹤0.01% 894
2024
Q2
$5.68M Sell
61,580
-86,060
-58% -$7.65M 0.03% 356
2024
Q1
$13.6M Sell
147,640
-178,292
-55% -$15.9M 0.03% 507
2023
Q4
$29.1M Buy
325,932
+53,332
+20% +$4.42M 0.06% 333
2023
Q3
$21.9M Sell
272,600
-52,600
-16% -$4.45M 0.05% 382
2023
Q2
$27.6M Sell
325,200
-161,600
-33% -$12.4M 0.06% 324
2023
Q1
$36.4M Sell
486,800
-110,000
-18% -$7.89M 0.08% 240
2022
Q4
$38.5M Sell
596,800
-36,000
-6% -$2.51M 0.1% 224
2022
Q3
$45.1M Sell
632,800
-16,976
-3% -$1.33M 0.12% 185
2022
Q2
$44.7M Sell
649,776
-255,996
-28% -$20.2M 0.11% 201
2022
Q1
$83.8M Sell
905,772
-160,868
-15% -$14.7M 0.18% 125
2021
Q4
$109M Sell
1,066,640
-175,500
-14% -$17.5M 0.23% 90
2021
Q3
$111M Buy
1,242,140
+40,980
+3% +$3.72M 0.28% 70
2021
Q2
$107M Buy
1,201,160
+200,620
+20% +$17.5M 0.3% 72
2021
Q1
$84.1M Buy
1,000,540
+76,620
+8% +$6.37M 0.29% 68
2020
Q4
$74.3M Buy
923,920
+49,620
+6% +$3.83M 0.28% 77
2020
Q3
$64.3M Buy
874,300
+13,260
+2% +$938K 0.32% 58
2020
Q2
$55M Buy
861,040
+109,600
+15% +$6.46M 0.33% 53
2020
Q1
$36.9M Sell
751,440
-264,700
-26% -$15.6M 0.29% 66
2019
Q4
$63.7M Buy
1,016,140
+268,860
+36% +$16.4M 0.4% 41
2019
Q3
$45.1M Buy
747,280
+257,280
+53% +$15.5M 0.31% 65
2019
Q2
$29.2M Buy
490,000
+449,200
+1,101% +$26.3M 0.2% 111
2019
Q1
$2.32M Buy
+40,800
New +$2.21M 0.02% 606
2018
Q4
Sell
-61,596
Closed -$3.61M 1355
2018
Q3
$3.61M Buy
61,596
+32,156
+109% +$1.83M 0.03% 497
2018
Q2
$1.61M Buy
+29,440
New +$1.56M 0.02% 425
2017
Q3
Sell
-71,680
Closed -$3.21M 692
2017
Q2
$3.21M Sell
71,680
-348,980
-83% -$15.6M 0.06% 225
2017
Q1
$18.5M Buy
420,660
+226,060
+116% +$9.68M 0.35% 64
2016
Q4
$7.92M Buy
+194,600
New +$7.86M 0.18% 104
2015
Q2
Sell
-377,980
Closed -$14.2M 502
2015
Q1
$14.2M Buy
377,980
+247,980
+191% +$9.11M 0.48% 53
2014
Q4
$4.69M Buy
+130,000
New +$4.46M 0.17% 89
2014
Q1
Sell
-177,290
Closed -$5.92M 448
2013
Q4
$5.92M Buy
+177,290
New +$5.64M 0.25% 60

Other funds holding XLY