Pictet Asset Management (UK)’s Alliant Energy LNT Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q2
$307M Sell
5,503,964
-392,924
-7% -$21.9M 0.33% 85
2021
Q1
$319M Sell
5,896,888
-98,486
-2% -$5.33M 0.38% 69
2020
Q4
$309M Buy
5,995,374
+763,658
+15% +$39.4M 0.4% 64
2020
Q3
$270M Buy
5,231,716
+326,059
+7% +$16.8M 0.42% 60
2020
Q2
$235M Buy
4,905,657
+948,747
+24% +$45.4M 0.4% 68
2020
Q1
$191M Buy
3,956,910
+1,229,750
+45% +$59.4M 0.41% 63
2019
Q4
$149M Buy
2,727,160
+334,666
+14% +$18.3M 0.26% 111
2019
Q3
$129M Buy
2,392,494
+195,500
+9% +$10.5M 0.27% 105
2019
Q2
$108M Buy
2,196,994
+157,396
+8% +$7.72M 0.23% 128
2019
Q1
$96.1M Buy
2,039,598
+15,629
+0.8% +$737K 0.21% 134
2018
Q4
$85.5K Sell
2,023,969
-68,218
-3% -$2.88K 0.21% 144
2018
Q3
$89.1M Sell
2,092,187
-121,651
-5% -$5.18M 0.19% 156
2018
Q2
$93.7M Sell
2,213,838
-72,803
-3% -$3.08M 0.22% 139
2018
Q1
$93.4M Buy
2,286,641
+813,157
+55% +$33.2M 0.23% 136
2017
Q4
$62.8M Buy
1,473,484
+569,192
+63% +$24.3M 0.16% 182
2017
Q3
$37.6M Sell
904,292
-218,042
-19% -$9.06M 0.11% 244
2017
Q2
$46.5M Sell
1,122,334
-68,236
-6% -$2.83M 0.14% 197
2017
Q1
$47.2M Sell
1,190,570
-246,500
-17% -$9.76M 0.15% 183
2016
Q4
$54.5M Sell
1,437,070
-136,449
-9% -$5.17M 0.2% 138
2016
Q3
$60.3M Sell
1,573,519
-435,863
-22% -$16.7M 0.23% 128
2016
Q2
$74.4M Sell
2,009,382
-86,886
-4% -$3.22M 0.29% 94
2016
Q1
$71.2M Sell
2,096,268
-48,332
-2% -$1.64M 0.31% 89
2015
Q4
$67M Buy
2,144,600
+1,270,102
+145% +$39.7M 0.28% 100
2015
Q3
$25.6M Sell
874,498
-546,736
-38% -$16M 0.11% 227
2015
Q2
$43.7M Sell
1,421,234
-60,004
-4% -$1.85M 0.18% 160
2015
Q1
$44.8M Buy
1,481,238
+75,452
+5% +$2.28M 0.19% 145
2014
Q4
$46.7M Sell
1,405,786
-566,356
-29% -$18.8M 0.21% 123
2014
Q3
$54.6M Sell
1,972,142
-223,092
-10% -$6.18M 0.26% 97
2014
Q2
$66.8M Sell
2,195,234
-144,492
-6% -$4.4M 0.32% 83
2014
Q1
$66.5M Buy
2,339,726
+51,924
+2% +$1.47M 0.33% 80
2013
Q4
$59M Sell
2,287,802
-405,414
-15% -$10.5M 0.3% 94
2013
Q3
$66.7M Sell
2,693,216
-2,266,568
-46% -$56.2M 0.37% 75
2013
Q2
$125M Buy
+4,959,784
New +$125M 0.72% 28