Raymond James & Associates’s FLIR Systems, Inc. (DE) Common Stock FLIR Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q2
Sell
-338,899
Closed -$19.1M 4068
2021
Q1
$19.1M Sell
338,899
-328,123
-49% -$18.5M 0.02% 686
2020
Q4
$29.2M Buy
667,022
+260,738
+64% +$11.4M 0.03% 460
2020
Q3
$14.6M Sell
406,284
-40,451
-9% -$1.45M 0.02% 675
2020
Q2
$18.1M Buy
446,735
+112,678
+34% +$4.57M 0.02% 563
2020
Q1
$10.7M Buy
334,057
+47,622
+17% +$1.52M 0.02% 716
2019
Q4
$14.9M Buy
286,435
+24,745
+9% +$1.29M 0.02% 710
2019
Q3
$13.8M Sell
261,690
-12,523
-5% -$659K 0.02% 708
2019
Q2
$14.8M Sell
274,213
-22,951
-8% -$1.24M 0.02% 667
2019
Q1
$14.1M Sell
297,164
-26,332
-8% -$1.25M 0.02% 657
2018
Q4
$14.1M Sell
323,496
-232,466
-42% -$10.1M 0.02% 601
2018
Q3
$34.2M Buy
555,962
+64,346
+13% +$3.96M 0.05% 338
2018
Q2
$25.6M Buy
491,616
+27,992
+6% +$1.45M 0.04% 407
2018
Q1
$23.2M Buy
463,624
+136,857
+42% +$6.84M 0.04% 417
2017
Q4
$15.2M Buy
326,767
+160,913
+97% +$7.5M 0.03% 573
2017
Q3
$6.45M Buy
165,854
+36,683
+28% +$1.43M 0.01% 955
2017
Q2
$4.48M Sell
129,171
-1,525
-1% -$52.9K 0.01% 1075
2017
Q1
$4.74M Sell
130,696
-21,542
-14% -$782K 0.01% 1044
2016
Q4
$5.51M Sell
152,238
-9,340
-6% -$338K 0.01% 941
2016
Q3
$5.08M Sell
161,578
-16,883
-9% -$530K 0.01% 943
2016
Q2
$5.52M Buy
178,461
+22,221
+14% +$688K 0.02% 800
2016
Q1
$5.15M Buy
156,240
+68,885
+79% +$2.27M 0.02% 808
2015
Q4
$2.45M Sell
87,355
-254,298
-74% -$7.14M 0.01% 1155
2015
Q3
$9.56M Sell
341,653
-780
-0.2% -$21.8K 0.04% 494
2015
Q2
$10.6M Sell
342,433
-53,206
-13% -$1.64M 0.04% 499
2015
Q1
$12.4M Buy
395,639
+96,159
+32% +$3.01M 0.05% 378
2014
Q4
$9.68M Buy
299,480
+177,328
+145% +$5.73M 0.05% 418
2014
Q3
$3.83M Buy
122,152
+3
+0% +$94 0.02% 757
2014
Q2
$4.24M Buy
122,149
+24,945
+26% +$866K 0.03% 704
2014
Q1
$3.5M Buy
97,204
+47,705
+96% +$1.72M 0.02% 732
2013
Q4
$1.49M Sell
49,499
-12,763
-20% -$384K 0.01% 1100
2013
Q3
$1.96M Buy
62,262
+24,961
+67% +$784K 0.02% 891
2013
Q2
$1.01M Buy
+37,301
New +$1.01M 0.01% 1166