NI
MET icon

Nuance Investments’s MetLife MET Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2023
Q3
Sell
-253,005
Closed -$14.3M 51
2023
Q2
$14.3M Buy
+253,005
New +$14.3M 0.31% 43
2023
Q1
Sell
-4,022
Closed -$291K 55
2022
Q4
$291K Sell
4,022
-49
-1% -$3.55K 0.01% 56
2022
Q3
$247K Buy
+4,071
New +$247K 0.01% 54
2022
Q2
Sell
-5,512
Closed -$387K 56
2022
Q1
$387K Sell
5,512
-250,851
-98% -$17.6M 0.01% 51
2021
Q4
$16M Sell
256,363
-918,054
-78% -$57.4M 0.28% 46
2021
Q3
$72.5M Sell
1,174,417
-82
-0% -$5.06K 1.33% 23
2021
Q2
$70.3M Buy
1,174,499
+19,215
+2% +$1.15M 1.25% 24
2021
Q1
$70.2M Sell
1,155,284
-953,087
-45% -$57.9M 1.31% 25
2020
Q4
$99M Sell
2,108,371
-149,139
-7% -$7M 1.91% 19
2020
Q3
$83.9M Buy
2,257,510
+20,426
+0.9% +$759K 1.97% 16
2020
Q2
$81.7M Buy
2,237,084
+143,167
+7% +$5.23M 2.12% 15
2020
Q1
$64M Buy
2,093,917
+267,337
+15% +$8.17M 2.22% 18
2019
Q4
$93.2M Buy
1,826,580
+339,755
+23% +$17.3M 3.04% 11
2019
Q3
$70.1M Sell
1,486,825
-141,109
-9% -$6.65M 2.64% 17
2019
Q2
$80.9M Sell
1,627,934
-322,886
-17% -$16M 3.42% 10
2019
Q1
$83M Buy
1,950,820
+411,882
+27% +$17.5M 4.31% 7
2018
Q4
$63.2M Buy
1,538,938
+414,976
+37% +$17M 4.25% 8
2018
Q3
$52.5M Buy
1,123,962
+19,833
+2% +$927K 3.14% 11
2018
Q2
$48.1M Sell
1,104,129
-21,094
-2% -$920K 3.13% 14
2018
Q1
$51.6M Sell
1,125,223
-82,773
-7% -$3.8M 3.49% 10
2017
Q4
$61.1M Buy
1,207,996
+539,110
+81% +$27.3M 4.08% 8
2017
Q3
$34.7M Buy
668,886
+353,627
+112% +$18.4M 2.41% 17
2017
Q2
$17.3M Buy
315,259
+264,437
+520% +$14.5M 1.3% 23
2017
Q1
$2.68M Buy
+50,822
New +$2.68M 0.21% 65
2016
Q4
Sell
-567,750
Closed -$25.2M 61
2016
Q3
$25.2M Buy
567,750
+58,314
+11% +$2.59M 2.47% 16
2016
Q2
$20.3M Buy
509,436
+76,993
+18% +$3.07M 2.1% 17
2016
Q1
$19M Buy
+432,443
New +$19M 2.07% 16
2014
Q3
Sell
-457,377
Closed -$25.4M 56
2014
Q2
$25.4M Sell
457,377
-79,800
-15% -$4.43M 2.7% 16
2014
Q1
$28.4M Buy
537,177
+214,259
+66% +$11.3M 3.95% 15
2013
Q4
$17.4M Sell
322,918
-10,173
-3% -$549K 3.78% 12
2013
Q3
$15.6M Sell
333,091
-5,397
-2% -$253K 4.18% 8
2013
Q2
$15.5M Buy
+338,488
New +$15.5M 4.87% 7