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

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
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% +$11.3M 0.02% 707
2020
Q4
$621M Sell
14,167,708
-97,921
-0.7% -$3.78M 0.02% 774
2020
Q3
$511M Sell
14,265,629
-387,730
-3% -$14.8M 0.02% 766
2020
Q2
$594M Sell
14,653,359
-758,396
-5% -$31.5M 0.02% 683
2020
Q1
$491M Buy
15,411,755
+336,057
+2% +$15.8M 0.02% 676
2019
Q4
$785M Sell
15,075,698
-58,305
-0.4% -$3.09M 0.03% 634
2019
Q3
$796M Buy
15,134,003
+123,757
+0.8% +$6.31M 0.03% 598
2019
Q2
$812M Sell
15,010,246
-107,519
-0.7% -$5.45M 0.03% 595
2019
Q1
$719M Buy
15,117,765
+18,054
+0.1% +$873K 0.03% 613
2018
Q4
$657M Buy
15,099,711
+273,403
+2% +$13.4M 0.03% 590
2018
Q3
$911M Buy
14,826,308
+290,026
+2% +$17.1M 0.04% 553
2018
Q2
$755M Buy
14,536,282
+166,996
+1% +$8.92M 0.03% 592
2018
Q1
$719M Buy
14,369,286
+166,086
+1% +$8.27M 0.03% 603
2017
Q4
$662M Buy
14,203,200
+379,658
+3% +$17.3M 0.03% 630
2017
Q3
$538M Buy
13,823,542
+211,882
+2% +$8.03M 0.03% 689
2017
Q2
$472M Buy
13,611,660
+285,535
+2% +$10.4M 0.02% 730
2017
Q1
$483M Buy
13,326,125
+409,124
+3% +$14.7M 0.02% 711
2016
Q4
$467M Buy
12,917,001
+317,594
+3% +$10.7M 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% +$5.23M 0.02% 702
2016
Q1
$408M Buy
12,383,305
+323,352
+3% +$9.99M 0.03% 673
2015
Q4
$339M Buy
12,059,953
+381,581
+3% +$10.8M 0.02% 735
2015
Q3
$327M Buy
11,678,372
+208,407
+2% +$6.15M 0.02% 737
2015
Q2
$354M Buy
11,469,965
+227,309
+2% +$7.07M 0.02% 738
2015
Q1
$352M Buy
11,242,656
+455,039
+4% +$14.4M 0.02% 739
2014
Q4
$349M Buy
10,787,617
+340,795
+3% +$10.8M 0.03% 699
2014
Q3
$327M Buy
10,446,822
+237,060
+2% +$7.96M 0.03% 702
2014
Q2
$355M Buy
10,209,762
+299,346
+3% +$10.5M 0.03% 663
2014
Q1
$357M Buy
9,910,416
+276,984
+3% +$9.15M 0.03% 632
2013
Q4
$290M Buy
9,633,432
+137,914
+1% +$4.08M 0.03% 706
2013
Q3
$298M Buy
9,495,518
+115,860
+1% +$3.62M 0.03% 639
2013
Q2
$253M Buy
+9,379,658
New +$233M 0.03% 672