TDAM USA’s American International AIG Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q4
$7.08M Sell
124,526
-7,293
-6% -$415K 0.44% 74
2021
Q3
$7.24M Sell
131,819
-8,226
-6% -$452K 0.48% 69
2021
Q2
$6.63M Sell
140,045
-7,956
-5% -$377K 0.41% 83
2021
Q1
$6.84M Buy
148,001
+3,996
+3% +$185K 0.42% 81
2020
Q4
$5.45M Sell
144,005
-9,291
-6% -$352K 0.34% 89
2020
Q3
$4.22M Sell
153,296
-8,986
-6% -$247K 0.29% 98
2020
Q2
$4.98M Buy
162,282
+1,274
+0.8% +$39.1K 0.36% 88
2020
Q1
$3.9M Sell
161,008
-3,743
-2% -$90.8K 0.33% 95
2019
Q4
$8.46M Sell
164,751
-5,190
-3% -$266K 0.55% 60
2019
Q3
$9.47M Buy
169,941
+18,311
+12% +$1.02M 0.67% 46
2019
Q2
$8.08M Sell
151,630
-1,961
-1% -$104K 0.57% 62
2019
Q1
$6.61M Buy
153,591
+21,609
+16% +$931K 0.47% 71
2018
Q4
$5.2M Buy
131,982
+2,605
+2% +$103K 0.38% 79
2018
Q3
$6.74M Buy
129,377
+1,750
+1% +$91.2K 0.41% 83
2018
Q2
$6.77M Sell
127,627
-5,132
-4% -$272K 0.43% 78
2018
Q1
$7.23M Sell
132,759
-1,198
-0.9% -$65.2K 0.44% 77
2017
Q4
$7.98M Sell
133,957
-63,341
-32% -$3.77M 0.46% 76
2017
Q3
$12.1M Sell
197,298
-5,389
-3% -$331K 0.71% 50
2017
Q2
$12.9M Sell
202,687
-11,410
-5% -$725K 0.66% 50
2017
Q1
$13.4M Sell
214,097
-15,438
-7% -$964K 0.68% 51
2016
Q4
$15M Sell
229,535
-12,771
-5% -$834K 0.79% 42
2016
Q3
$14.4M Buy
242,306
+4,333
+2% +$257K 0.71% 45
2016
Q2
$12.6M Sell
237,973
-19,277
-7% -$1.02M 0.62% 54
2016
Q1
$13.9M Sell
257,250
-3,451
-1% -$187K 0.68% 51
2015
Q4
$16.2M Sell
260,701
-592
-0.2% -$36.7K 0.78% 40
2015
Q3
$14.8M Sell
261,293
-446
-0.2% -$25.3K 0.76% 44
2015
Q2
$16.2M Buy
261,739
+12,984
+5% +$803K 0.73% 43
2015
Q1
$13.6M Buy
248,755
+11,652
+5% +$638K 0.55% 64
2014
Q4
$13.3M Buy
237,103
+44,541
+23% +$2.49M 0.56% 68
2014
Q3
$10.4M Buy
192,562
+5,241
+3% +$283K 0.45% 75
2014
Q2
$10.2M Buy
187,321
+7,804
+4% +$426K 0.43% 80
2014
Q1
$8.98M Buy
179,517
+4,591
+3% +$230K 0.39% 88
2013
Q4
$8.93M Buy
174,926
+162,960
+1,362% +$8.32M 0.39% 84
2013
Q3
$582K Sell
11,966
-2,945
-20% -$143K 0.03% 173
2013
Q2
$667K Buy
+14,911
New +$667K 0.03% 167