Parkside Financial Bank & Trust’s Manulife Financial MFC Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$28.8K Sell
900
-2,990
-77% -$95.6K ﹤0.01% 1094
2025
Q1
$121K Buy
3,890
+470
+14% +$14.6K 0.02% 516
2024
Q4
$105K Hold
3,420
0.01% 550
2024
Q3
$101K Hold
3,420
0.01% 545
2024
Q2
$91K Hold
3,420
0.01% 550
2024
Q1
$85.5K Hold
3,420
0.01% 575
2023
Q4
$75.6K Hold
3,420
0.01% 559
2023
Q3
$62.5K Hold
3,420
0.01% 550
2023
Q2
$64.7K Sell
3,420
-600
-15% -$11.3K 0.02% 527
2023
Q1
$73.8K Hold
4,020
0.02% 472
2022
Q4
$71.7K Buy
4,020
+600
+18% +$10.7K 0.02% 465
2022
Q3
$54K Hold
3,420
0.02% 502
2022
Q2
$59K Hold
3,420
0.02% 475
2022
Q1
$73K Hold
3,420
0.02% 426
2021
Q4
$65K Hold
3,420
0.02% 455
2021
Q3
$66K Hold
3,420
0.02% 425
2021
Q2
$67K Hold
3,420
0.02% 419
2021
Q1
$74K Hold
3,420
0.02% 376
2020
Q4
$61K Hold
3,420
0.02% 408
2020
Q3
$48K Hold
3,420
0.02% 424
2020
Q2
$47K Hold
3,420
0.02% 434
2020
Q1
$43K Sell
3,420
-356
-9% -$4.48K 0.02% 401
2019
Q4
$77K Hold
3,776
0.02% 340
2019
Q3
$69K Hold
3,776
0.02% 342
2019
Q2
$69K Hold
3,776
0.02% 334
2019
Q1
$64K Hold
3,776
0.02% 326
2018
Q4
$54K Hold
3,776
0.02% 337
2018
Q3
$68K Hold
3,776
0.02% 306
2018
Q2
$68K Hold
3,776
0.03% 299
2018
Q1
$70K Hold
3,776
0.03% 288
2017
Q4
$79K Hold
3,776
0.03% 273
2017
Q3
$77K Hold
3,776
0.03% 261
2017
Q2
$71K Buy
3,776
+356
+10% +$6.69K 0.03% 259
2017
Q1
$61K Sell
3,420
-474
-12% -$8.45K 0.03% 293
2016
Q4
$394K Sell
3,894
-6,896
-64% -$698K 0.17% 111
2016
Q3
$477K Hold
10,790
0.22% 85
2016
Q2
$147K Hold
10,790
0.07% 175
2016
Q1
$152K Hold
10,790
0.08% 171
2015
Q4
$162K Buy
10,790
+474
+5% +$7.12K 0.08% 163
2015
Q3
$160K Sell
10,316
-482
-4% -$7.48K 0.09% 151
2015
Q2
$201K Buy
10,798
+8
+0.1% +$149 0.11% 167
2015
Q1
$183K Hold
10,790
0.1% 168
2014
Q4
$206K Hold
10,790
0.12% 157
2014
Q3
$208K Hold
10,790
0.13% 160
2014
Q2
$214K Hold
10,790
0.13% 152
2014
Q1
$208K Buy
10,790
+337
+3% +$6.5K 0.13% 146
2013
Q4
$207K Hold
10,453
0.14% 142
2013
Q3
$173K Buy
+10,453
New +$173K 0.14% 131