PSUF
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People's United Financial’s Johnson & Johnson JNJ Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q1
$34.7M Sell
195,633
-26,822
-12% -$4.75M 0.99% 20
2021
Q4
$38.1M Sell
222,455
-27,460
-11% -$4.7M 0.91% 24
2021
Q3
$40.4M Sell
249,915
-19,503
-7% -$3.15M 0.9% 24
2021
Q2
$44.4M Buy
269,418
+984
+0.4% +$162K 0.99% 20
2021
Q1
$44.1M Sell
268,434
-921
-0.3% -$151K 1.05% 20
2020
Q4
$42.4M Sell
269,355
-12,041
-4% -$1.9M 1.05% 19
2020
Q3
$41.9M Buy
281,396
+12,541
+5% +$1.87M 1.17% 14
2020
Q2
$37.8M Buy
268,855
+5,771
+2% +$812K 1.1% 19
2020
Q1
$34.5M Sell
263,084
-19,850
-7% -$2.6M 1.19% 20
2019
Q4
$41.3M Sell
282,934
-22,479
-7% -$3.28M 1.13% 18
2019
Q3
$39.5M Sell
305,413
-22,106
-7% -$2.86M 1.12% 17
2019
Q2
$45.6M Sell
327,519
-49,255
-13% -$6.86M 1.25% 17
2019
Q1
$52.7M Sell
376,774
-1,669
-0.4% -$233K 1.63% 9
2018
Q4
$48.8M Sell
378,443
-3,796
-1% -$490K 1.69% 8
2018
Q3
$52.8M Sell
382,239
-4,955
-1% -$685K 1.63% 9
2018
Q2
$47M Sell
387,194
-15,364
-4% -$1.86M 1.21% 10
2018
Q1
$51.6M Sell
402,558
-13,184
-3% -$1.69M 1.63% 11
2017
Q4
$58.1M Sell
415,742
-10,368
-2% -$1.45M 1.81% 9
2017
Q3
$55.4M Buy
426,110
+10,230
+2% +$1.33M 1.85% 8
2017
Q2
$55M Buy
415,880
+3,950
+1% +$523K 1.87% 8
2017
Q1
$51.3M Buy
411,930
+4,367
+1% +$544K 1.79% 8
2016
Q4
$47M Buy
407,563
+31,680
+8% +$3.65M 1.74% 9
2016
Q3
$44.4M Buy
375,883
+6,495
+2% +$767K 2.34% 4
2016
Q2
$44.8M Buy
369,388
+1,926
+0.5% +$234K 2.4% 4
2016
Q1
$39.8M Buy
367,462
+44,291
+14% +$4.79M 2.11% 5
2015
Q4
$33.2M Buy
323,171
+6,236
+2% +$641K 1.76% 7
2015
Q3
$29.6M Buy
316,935
+8,011
+3% +$748K 1.68% 7
2015
Q2
$30.1M Sell
308,924
-11,017
-3% -$1.07M 1.59% 7
2015
Q1
$32.2M Buy
319,941
+5,305
+2% +$534K 1.63% 7
2014
Q4
$32.9M Sell
314,636
-13,291
-4% -$1.39M 1.68% 8
2014
Q3
$35M Buy
327,927
+18,848
+6% +$2.01M 1.85% 6
2014
Q2
$32.3M Buy
309,079
+38,163
+14% +$3.99M 1.72% 6
2014
Q1
$26.6M Sell
270,916
-8,449
-3% -$830K 1.59% 8
2013
Q4
$25.6M Sell
279,365
-8,626
-3% -$790K 1.47% 11
2013
Q3
$25M Buy
287,991
+11,485
+4% +$996K 1.58% 9
2013
Q2
$23.7M Buy
+276,506
New +$23.7M 1.54% 8