Pictet Asset Management (UK)’s Wells Fargo WFC Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q2
$88.5M Buy
1,953,756
+59,350
+3% +$2.69M 0.1% 246
2021
Q1
$74M Buy
1,894,406
+87,436
+5% +$3.42M 0.09% 252
2020
Q4
$54.5M Sell
1,806,970
-21,900
-1% -$661K 0.07% 291
2020
Q3
$43M Buy
1,828,870
+4,200
+0.2% +$98.7K 0.07% 295
2020
Q2
$46.7M Sell
1,824,670
-115,178
-6% -$2.95M 0.08% 258
2020
Q1
$55.7M Sell
1,939,848
-226,938
-10% -$6.51M 0.12% 209
2019
Q4
$117M Sell
2,166,786
-139,540
-6% -$7.51M 0.21% 139
2019
Q3
$116M Buy
2,306,326
+174,946
+8% +$8.82M 0.24% 115
2019
Q2
$101M Buy
2,131,380
+125,432
+6% +$5.94M 0.22% 133
2019
Q1
$96.9M Sell
2,005,948
-130,100
-6% -$6.29M 0.21% 130
2018
Q4
$98.4K Sell
2,136,048
-122,500
-5% -$5.65K 0.25% 130
2018
Q3
$119M Sell
2,258,548
-208,800
-8% -$11M 0.25% 120
2018
Q2
$137M Sell
2,467,348
-48,100
-2% -$2.67M 0.33% 88
2018
Q1
$132M Sell
2,515,448
-616,280
-20% -$32.3M 0.33% 87
2017
Q4
$190M Buy
3,131,728
+308,953
+11% +$18.7M 0.49% 44
2017
Q3
$156M Buy
2,822,775
+86,029
+3% +$4.74M 0.44% 57
2017
Q2
$140M Sell
2,736,746
-94,459
-3% -$4.83M 0.43% 63
2017
Q1
$158M Buy
2,831,205
+103,339
+4% +$5.75M 0.51% 42
2016
Q4
$150M Buy
2,727,866
+233,211
+9% +$12.9M 0.56% 40
2016
Q3
$110M Sell
2,494,655
-412,280
-14% -$18.3M 0.42% 61
2016
Q2
$147M Buy
2,906,935
+347,000
+14% +$17.6M 0.58% 37
2016
Q1
$120M Buy
2,559,935
+31,900
+1% +$1.5M 0.53% 45
2015
Q4
$137M Sell
2,528,035
-149,872
-6% -$8.15M 0.58% 37
2015
Q3
$138M Sell
2,677,907
-15,400
-0.6% -$791K 0.61% 34
2015
Q2
$156M Sell
2,693,307
-64,270
-2% -$3.72M 0.64% 28
2015
Q1
$152M Sell
2,757,577
-60,592
-2% -$3.34M 0.63% 27
2014
Q4
$154M Buy
2,818,169
+40,511
+1% +$2.22M 0.69% 23
2014
Q3
$144M Buy
2,777,658
+195
+0% +$10.1K 0.69% 26
2014
Q2
$146M Buy
2,777,463
+92,363
+3% +$4.85M 0.7% 24
2014
Q1
$134M Sell
2,685,100
-40,500
-1% -$2.01M 0.67% 28
2013
Q4
$124M Sell
2,725,600
-331,563
-11% -$15.1M 0.64% 32
2013
Q3
$126M Buy
3,057,163
+324,423
+12% +$13.4M 0.71% 25
2013
Q2
$113M Buy
+2,732,740
New +$113M 0.64% 36