Nippon Life Global Investors Americas’s GE Aerospace GE Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$9.53M Sell
37,020
-68,340
-65% -$17.6M 0.42% 54
2025
Q1
$21.1M Sell
105,360
-23,840
-18% -$4.78M 1.04% 31
2024
Q4
$21.6M Sell
129,200
-83,420
-39% -$13.9M 0.99% 30
2024
Q3
$40.1M Sell
212,620
-22,200
-9% -$4.19M 1.72% 17
2024
Q2
$37.3M Sell
234,820
-39,098
-14% -$6.22M 1.64% 21
2024
Q1
$38.4M Buy
+273,918
New +$38.4M 1.79% 21
2022
Q2
Sell
-72,306
Closed -$4.12M 145
2022
Q1
$4.12M Buy
72,306
+8,603
+14% +$490K 0.22% 95
2021
Q4
$3.75M Sell
63,703
-6,147
-9% -$362K 0.18% 108
2021
Q3
$4.48M Sell
69,850
-1,607
-2% -$103K 0.23% 99
2021
Q2
$4.79M Hold
71,457
0.24% 101
2021
Q1
$4.68M Hold
71,457
0.26% 101
2020
Q4
$3.85M Buy
+71,457
New +$3.85M 0.23% 99
2020
Q3
Sell
-59,501
Closed -$2.03M 147
2020
Q2
$2.03M Sell
59,501
-261,887
-81% -$8.92M 0.14% 115
2020
Q1
$12.7M Buy
+321,388
New +$12.7M 1.11% 26
2018
Q3
Sell
-88,644
Closed -$5.78M 144
2018
Q2
$5.78M Buy
88,644
+73,706
+493% +$4.81M 0.46% 68
2018
Q1
$965K Buy
+14,938
New +$965K 0.08% 136
2017
Q3
Sell
-80,817
Closed -$10.5M 145
2017
Q2
$10.5M Sell
80,817
-3,076
-4% -$398K 0.9% 37
2017
Q1
$12M Sell
83,893
-14,821
-15% -$2.12M 1.07% 30
2016
Q4
$14.9M Sell
98,714
-2,296
-2% -$348K 1.38% 20
2016
Q3
$14.3M Sell
101,010
-8,390
-8% -$1.19M 1.35% 22
2016
Q2
$16.5M Buy
109,400
+5,110
+5% +$771K 1.58% 15
2016
Q1
$15.9M Hold
104,290
1.51% 17
2015
Q4
$15.6M Sell
104,290
-26,176
-20% -$3.91M 1.46% 21
2015
Q3
$15.8M Sell
130,466
-7,364
-5% -$890K 1.58% 16
2015
Q2
$17.6M Buy
137,830
+118,434
+611% +$15.1M 1.58% 17
2015
Q1
$2.31M Sell
19,396
-8,838
-31% -$1.05M 0.21% 118
2014
Q4
$3.42M Sell
28,234
-139,755
-83% -$16.9M 0.31% 102
2014
Q3
$20.6M Buy
167,989
+14,103
+9% +$1.73M 1.95% 6
2014
Q2
$19.4M Buy
153,886
+26,123
+20% +$3.29M 1.82% 5
2014
Q1
$15.9M Sell
127,763
-8,378
-6% -$1.04M 1.57% 9
2013
Q4
$18.3M Buy
136,141
+12,651
+10% +$1.7M 1.81% 4
2013
Q3
$14.1M Sell
123,490
-9,636
-7% -$1.1M 1.53% 9
2013
Q2
$14.8M Buy
+133,126
New +$14.8M 1.64% 6