Securian Asset Management’s Chemours CC Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q1
Sell
-11,295
Closed -$191K 932
2024
Q4
$191K Sell
11,295
-312
-3% -$5.27K 0.01% 909
2024
Q3
$236K Sell
11,607
-268
-2% -$5.45K 0.01% 888
2024
Q2
$268K Sell
11,875
-332
-3% -$7.49K 0.01% 862
2024
Q1
$321K Sell
12,207
-235
-2% -$6.17K 0.01% 831
2023
Q4
$392K Sell
12,442
-100
-0.8% -$3.15K 0.01% 775
2023
Q3
$352K Sell
12,542
-745
-6% -$20.9K 0.01% 776
2023
Q2
$490K Sell
13,287
-222
-2% -$8.19K 0.01% 708
2023
Q1
$404K Sell
13,509
-359
-3% -$10.7K 0.01% 753
2022
Q4
$425K Sell
13,868
-205
-1% -$6.28K 0.01% 729
2022
Q3
$347K Sell
14,073
-100
-0.7% -$2.47K 0.01% 761
2022
Q2
$454K Sell
14,173
-185
-1% -$5.93K 0.01% 736
2022
Q1
$452K Sell
14,358
-237
-2% -$7.46K 0.01% 799
2021
Q4
$490K Sell
14,595
-217
-1% -$7.29K 0.01% 779
2021
Q3
$430K Sell
14,812
-400
-3% -$11.6K 0.01% 818
2021
Q2
$529K Sell
15,212
-281
-2% -$9.77K 0.01% 761
2021
Q1
$432K Sell
15,493
-100
-0.6% -$2.79K 0.01% 828
2020
Q4
$387K Sell
15,593
-357
-2% -$8.86K 0.01% 793
2020
Q3
$334K Sell
15,950
-681
-4% -$14.3K 0.01% 803
2020
Q2
$255K Sell
16,631
-154
-0.9% -$2.36K 0.01% 872
2020
Q1
$149K Hold
16,785
﹤0.01% 931
2019
Q4
$304K Sell
16,785
-1,564
-9% -$28.3K 0.01% 903
2019
Q3
$274K Sell
18,349
-1,343
-7% -$20.1K 0.01% 927
2019
Q2
$473K Sell
19,692
-657
-3% -$15.8K 0.01% 810
2019
Q1
$756K Sell
20,349
-547
-3% -$20.3K 0.02% 638
2018
Q4
$590K Sell
20,896
-759
-4% -$21.4K 0.02% 673
2018
Q3
$854K Sell
21,655
-457
-2% -$18K 0.02% 620
2018
Q2
$981K Sell
22,112
-594
-3% -$26.4K 0.02% 558
2018
Q1
$1.11M Sell
22,706
-100
-0.4% -$4.87K 0.03% 518
2017
Q4
$1.14M Sell
22,806
-481
-2% -$24.1K 0.03% 530
2017
Q3
$1.18M Hold
23,287
0.03% 473
2017
Q2
$883K Sell
23,287
-163
-0.7% -$6.18K 0.02% 565
2017
Q1
$903K Buy
+23,450
New +$903K 0.02% 548
2016
Q1
Sell
-23,725
Closed -$127K 984
2015
Q4
$127K Sell
23,725
-1,464
-6% -$7.84K ﹤0.01% 978
2015
Q3
$163K Sell
25,189
-361
-1% -$2.34K 0.01% 954
2015
Q2
$409K Buy
+25,550
New +$409K 0.01% 821