Prudential Financial
CLGX

Prudential Financial’s Corelogic, Inc. CLGX Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2021
Q2
Sell
-17,891
Closed -$1.42M 2648
2021
Q1
$1.42M Sell
17,891
-506
-3% -$40.1K ﹤0.01% 1647
2020
Q4
$1.42M Sell
18,397
-130,057
-88% -$10.1M ﹤0.01% 1583
2020
Q3
$10M Buy
148,454
+6,986
+5% +$473K 0.02% 649
2020
Q2
$9.51M Sell
141,468
-237,687
-63% -$16M 0.02% 707
2020
Q1
$11.6M Sell
379,155
-338,648
-47% -$10.3M 0.03% 583
2019
Q4
$31.4M Buy
717,803
+506,064
+239% +$22.1M 0.05% 414
2019
Q3
$9.79M Sell
211,739
-38,299
-15% -$1.77M 0.02% 840
2019
Q2
$10.5M Sell
250,038
-240,479
-49% -$10.1M 0.02% 812
2019
Q1
$18.3M Buy
490,517
+82,380
+20% +$3.07M 0.03% 587
2018
Q4
$13.6M Sell
408,137
-11,325
-3% -$378K 0.02% 679
2018
Q3
$20.7M Buy
419,462
+144,642
+53% +$7.15M 0.03% 600
2018
Q2
$14.3M Buy
274,820
+212,030
+338% +$11M 0.02% 787
2018
Q1
$2.84M Sell
62,790
-250
-0.4% -$11.3K ﹤0.01% 1422
2017
Q4
$2.91M Sell
63,040
-96,590
-61% -$4.46M ﹤0.01% 1409
2017
Q3
$7.38M Buy
159,630
+970
+0.6% +$44.8K 0.01% 996
2017
Q2
$6.88M Sell
158,660
-110,760
-41% -$4.8M 0.01% 1009
2017
Q1
$11M Sell
269,420
-474,360
-64% -$19.3M 0.02% 831
2016
Q4
$27.4M Buy
743,780
+186,520
+33% +$6.87M 0.04% 464
2016
Q3
$21.9M Buy
557,260
+95,770
+21% +$3.76M 0.04% 532
2016
Q2
$17.8M Buy
461,490
+199,110
+76% +$7.66M 0.03% 598
2016
Q1
$9.1M Sell
262,380
-24,480
-9% -$849K 0.02% 846
2015
Q4
$9.71M Buy
286,860
+223,080
+350% +$7.55M 0.02% 807
2015
Q3
$2.38M Sell
63,780
-146,550
-70% -$5.46M ﹤0.01% 1377
2015
Q2
$8.35M Buy
210,330
+146,460
+229% +$5.81M 0.01% 888
2015
Q1
$2.25M Sell
63,870
-8,100
-11% -$286K ﹤0.01% 1536
2014
Q4
$2.27M Buy
71,970
+4,500
+7% +$142K ﹤0.01% 1402
2014
Q3
$1.83M Sell
67,470
-87,740
-57% -$2.37M ﹤0.01% 1463
2014
Q2
$4.71M Sell
155,210
-354,751
-70% -$10.8M 0.01% 1031
2014
Q1
$15.3M Sell
509,961
-882,100
-63% -$26.5M 0.03% 566
2013
Q4
$49.5M Sell
1,392,061
-983,020
-41% -$34.9M 0.1% 216
2013
Q3
$64.2M Buy
2,375,081
+14,590
+0.6% +$395K 0.14% 161
2013
Q2
$54.7M Buy
+2,360,491
New +$54.7M 0.12% 185