Vanguard Group
FLIR

Vanguard Group’s FLIR Systems, Inc. (DE) Common Stock FLIR Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2021
Q2
Sell
-14,375,866
Closed -$812M 4478
2021
Q1
$812M Buy
14,375,866
+208,158
+1% +$11.8M 0.02% 707
2020
Q4
$621M Sell
14,167,708
-97,921
-0.7% -$4.29M 0.02% 774
2020
Q3
$511M Sell
14,265,629
-387,730
-3% -$13.9M 0.02% 766
2020
Q2
$594M Sell
14,653,359
-758,396
-5% -$30.8M 0.02% 683
2020
Q1
$491M Buy
15,411,755
+336,057
+2% +$10.7M 0.02% 676
2019
Q4
$785M Sell
15,075,698
-58,305
-0.4% -$3.04M 0.03% 634
2019
Q3
$796M Buy
15,134,003
+123,757
+0.8% +$6.51M 0.03% 598
2019
Q2
$812M Sell
15,010,246
-107,519
-0.7% -$5.82M 0.03% 595
2019
Q1
$719M Buy
15,117,765
+18,054
+0.1% +$859K 0.03% 613
2018
Q4
$657M Buy
15,099,711
+273,403
+2% +$11.9M 0.03% 590
2018
Q3
$911M Buy
14,826,308
+290,026
+2% +$17.8M 0.04% 553
2018
Q2
$755M Buy
14,536,282
+166,996
+1% +$8.68M 0.03% 592
2018
Q1
$719M Buy
14,369,286
+166,086
+1% +$8.31M 0.03% 603
2017
Q4
$662M Buy
14,203,200
+379,658
+3% +$17.7M 0.03% 630
2017
Q3
$538M Buy
13,823,542
+211,882
+2% +$8.24M 0.03% 689
2017
Q2
$472M Buy
13,611,660
+285,535
+2% +$9.9M 0.02% 730
2017
Q1
$483M Buy
13,326,125
+409,124
+3% +$14.8M 0.02% 711
2016
Q4
$467M Buy
12,917,001
+317,594
+3% +$11.5M 0.03% 689
2016
Q3
$396M Buy
12,599,407
+48,542
+0.4% +$1.53M 0.02% 725
2016
Q2
$388M Buy
12,550,865
+167,560
+1% +$5.19M 0.02% 702
2016
Q1
$408M Buy
12,383,305
+323,352
+3% +$10.7M 0.03% 673
2015
Q4
$339M Buy
12,059,953
+381,581
+3% +$10.7M 0.02% 735
2015
Q3
$327M Buy
11,678,372
+208,407
+2% +$5.83M 0.02% 737
2015
Q2
$354M Buy
11,469,965
+227,309
+2% +$7.01M 0.02% 738
2015
Q1
$352M Buy
11,242,656
+455,039
+4% +$14.2M 0.02% 739
2014
Q4
$349M Buy
10,787,617
+340,795
+3% +$11M 0.03% 699
2014
Q3
$327M Buy
10,446,822
+237,060
+2% +$7.43M 0.03% 702
2014
Q2
$355M Buy
10,209,762
+299,346
+3% +$10.4M 0.03% 663
2014
Q1
$357M Buy
9,910,416
+276,984
+3% +$9.97M 0.03% 632
2013
Q4
$290M Buy
9,633,432
+137,914
+1% +$4.15M 0.03% 706
2013
Q3
$298M Buy
9,495,518
+115,860
+1% +$3.64M 0.03% 639
2013
Q2
$253M Buy
+9,379,658
New +$253M 0.03% 672