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S&T Bank’s Myriad Genetics MYGN Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q1
Sell
-14,967
Closed -$413K 137
2021
Q4
$413K Sell
14,967
-3,456
-19% -$95.4K 0.06% 108
2021
Q3
$595K Sell
18,423
-19,339
-51% -$625K 0.09% 95
2021
Q2
$1.16M Sell
37,762
-5,829
-13% -$178K 0.18% 77
2021
Q1
$1.33M Sell
43,591
-287,507
-87% -$8.75M 0.22% 74
2020
Q4
$6.55M Sell
331,098
-11,161
-3% -$221K 1.18% 42
2020
Q3
$4.46M Buy
342,259
+26,424
+8% +$345K 1.02% 42
2020
Q2
$3.58M Sell
315,835
-2,292
-0.7% -$26K 0.82% 48
2020
Q1
$4.55M Sell
318,127
-17,864
-5% -$256K 1.25% 34
2019
Q4
$9.15M Buy
335,991
+7,648
+2% +$208K 1.88% 15
2019
Q3
$9.53M Buy
328,343
+161,571
+97% +$4.69M 2.06% 10
2019
Q2
$4.63M Buy
166,772
+16,974
+11% +$472K 1.02% 42
2019
Q1
$4.97M Sell
149,798
-421
-0.3% -$14K 1.12% 41
2018
Q4
$4.37M Sell
150,219
-14,852
-9% -$432K 1.01% 44
2018
Q3
$7.59M Sell
165,071
-157,709
-49% -$7.26M 1.42% 38
2018
Q2
$12.1M Sell
322,780
-64,304
-17% -$2.4M 2.28% 9
2018
Q1
$11.4M Sell
387,084
-89,072
-19% -$2.63M 2.04% 11
2017
Q4
$16.4M Sell
476,156
-11,345
-2% -$390K 2.77% 3
2017
Q3
$17.6M Sell
487,501
-25,080
-5% -$907K 3.15% 2
2017
Q2
$13.2M Sell
512,581
-7,226
-1% -$187K 2.41% 7
2017
Q1
$9.98M Buy
519,807
+30,397
+6% +$584K 1.9% 19
2016
Q4
$8.16M Sell
489,410
-155,427
-24% -$2.59M 1.31% 38
2016
Q3
$13.3M Buy
644,837
+308,789
+92% +$6.35M 2.2% 14
2016
Q2
$10.3M Buy
336,048
+2,832
+0.8% +$86.7K 1.68% 29
2016
Q1
$12.5M Buy
333,216
+1,331
+0.4% +$49.8K 2.08% 18
2015
Q4
$14.3M Sell
331,885
-70,373
-17% -$3.04M 2.22% 13
2015
Q3
$15.1M Sell
402,258
-1,351
-0.3% -$50.6K 2.32% 17
2015
Q2
$13.7M Buy
403,609
+10,163
+3% +$345K 2.01% 18
2015
Q1
$13.9M Buy
393,446
+13,722
+4% +$486K 2.09% 17
2014
Q4
$12.9M Buy
379,724
+29,722
+8% +$1.01M 1.88% 18
2014
Q3
$13.5M Buy
350,002
+1,616
+0.5% +$62.3K 2.02% 17
2014
Q2
$13.6M Sell
348,386
-129,321
-27% -$5.03M 2.04% 14
2014
Q1
$16.3M Sell
477,707
-19,996
-4% -$684K 2.33% 5
2013
Q4
$10.4M Buy
497,703
+99,125
+25% +$2.08M 1.49% 31
2013
Q3
$9.37M Sell
398,578
-22,023
-5% -$518K 1.46% 29
2013
Q2
$11.3M Buy
+420,601
New +$11.3M 1.98% 10