Neuberger Berman Group’s Brookfield Property Partners L.P. Limited Partnership Units BPY Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2021
Q3
Sell
-234,126
Closed -$4.45M 1873
2021
Q2
$4.45M Sell
234,126
-119,517
-34% -$2.27M ﹤0.01% 989
2021
Q1
$6.3M Buy
353,643
+31,286
+10% +$558K 0.01% 910
2020
Q4
$4.67M Buy
322,357
+39,002
+14% +$565K ﹤0.01% 919
2020
Q3
$3.41M Sell
283,355
-471,600
-62% -$5.67M ﹤0.01% 945
2020
Q2
$7.48M Buy
754,955
+121,519
+19% +$1.2M 0.01% 772
2020
Q1
$5.11M Buy
633,436
+38,176
+6% +$308K 0.01% 787
2019
Q4
$10.9M Sell
595,260
-21,523
-3% -$393K 0.01% 724
2019
Q3
$12.5M Buy
616,783
+4,884
+0.8% +$99.1K 0.02% 679
2019
Q2
$11.6M Sell
611,899
-17,576
-3% -$333K 0.01% 733
2019
Q1
$12.9M Sell
629,475
-89,684
-12% -$1.84M 0.02% 690
2018
Q4
$11.6M Sell
719,159
-59,506
-8% -$959K 0.02% 711
2018
Q3
$16.3M Buy
778,665
+38,880
+5% +$812K 0.02% 694
2018
Q2
$14.1M Sell
739,785
-20,109
-3% -$382K 0.02% 735
2018
Q1
$14.6M Sell
759,894
-44,184
-5% -$848K 0.02% 703
2017
Q4
$17.8M Sell
804,078
-35,259
-4% -$781K 0.02% 659
2017
Q3
$19.6M Sell
839,337
-80,865
-9% -$1.89M 0.02% 615
2017
Q2
$21.8M Sell
920,202
-18,101
-2% -$428K 0.03% 585
2017
Q1
$20.9M Sell
938,303
-194,801
-17% -$4.34M 0.03% 582
2016
Q4
$24.9M Sell
1,133,104
-194,718
-15% -$4.28M 0.03% 531
2016
Q3
$30.4M Sell
1,327,822
-129,036
-9% -$2.96M 0.04% 487
2016
Q2
$32.7M Sell
1,456,858
-181,242
-11% -$4.07M 0.05% 476
2016
Q1
$38M Sell
1,638,100
-310,128
-16% -$7.19M 0.05% 428
2015
Q4
$45.3M Buy
1,948,228
+58,839
+3% +$1.37M 0.06% 402
2015
Q3
$40.5M Sell
1,889,389
-688,285
-27% -$14.8M 0.05% 430
2015
Q2
$56.8M Sell
2,577,674
-1,007,641
-28% -$22.2M 0.06% 385
2015
Q1
$86.9M Sell
3,585,315
-88,046
-2% -$2.14M 0.09% 303
2014
Q4
$84M Buy
3,673,361
+521,908
+17% +$11.9M 0.09% 310
2014
Q3
$66.4M Buy
3,151,453
+1,087,827
+53% +$22.9M 0.07% 362
2014
Q2
$43.1M Buy
2,063,626
+885,705
+75% +$18.5M 0.04% 462
2014
Q1
$22M Buy
1,177,921
+526,476
+81% +$9.85M 0.02% 615
2013
Q4
$13M Buy
651,445
+133,457
+26% +$2.66M 0.01% 747
2013
Q3
$10M Buy
517,988
+38,157
+8% +$740K 0.01% 786
2013
Q2
$9.74M Buy
+479,831
New +$9.74M 0.01% 762