Verition Fund Management’s Aflac AFL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$880K Sell
8,349
-3,078
-27% -$325K ﹤0.01% 1935
2025
Q1
$1.27M Buy
11,427
+7,480
+190% +$832K 0.01% 1483
2024
Q4
$408K Sell
3,947
-7,443
-65% -$770K ﹤0.01% 1985
2024
Q3
$1.27M Buy
11,390
+6,342
+126% +$709K 0.01% 1199
2024
Q2
$451K Sell
5,048
-4,427
-47% -$395K ﹤0.01% 1509
2024
Q1
$814K Sell
9,475
-1,390
-13% -$119K 0.01% 1233
2023
Q4
$896K Sell
10,865
-7,723
-42% -$637K 0.01% 940
2023
Q3
$1.43M Buy
+18,588
New +$1.43M 0.02% 811
2023
Q2
Sell
-13,412
Closed -$865K 1888
2023
Q1
$865K Buy
13,412
+3,789
+39% +$244K 0.01% 910
2022
Q4
$692K Sell
9,623
-16,939
-64% -$1.22M 0.01% 896
2022
Q3
$1.49M Buy
26,562
+15,766
+146% +$886K 0.02% 920
2022
Q2
$597K Buy
10,796
+7,677
+246% +$425K 0.01% 1286
2022
Q1
$201K Sell
3,119
-6,374
-67% -$411K ﹤0.01% 1566
2021
Q4
$554K Sell
9,493
-11,322
-54% -$661K ﹤0.01% 1141
2021
Q3
$1.09M Buy
20,815
+10,749
+107% +$560K 0.01% 670
2021
Q2
$540K Buy
+10,066
New +$540K ﹤0.01% 939
2021
Q1
Sell
-10,090
Closed -$449K 1407
2020
Q4
$449K Buy
+10,090
New +$449K ﹤0.01% 587
2020
Q3
Sell
-13,014
Closed -$469K 949
2020
Q2
$469K Buy
+13,014
New +$469K 0.02% 569
2019
Q4
Sell
-8,287
Closed -$434K 916
2019
Q3
$434K Buy
+8,287
New +$434K 0.01% 565
2018
Q3
Sell
-6,552
Closed -$282K 1145
2018
Q2
$282K Sell
6,552
-1,406
-18% -$60.5K 0.02% 817
2018
Q1
$348K Buy
7,958
+1,998
+34% +$87.4K 0.03% 719
2017
Q4
$262K Sell
5,960
-38,470
-87% -$1.69M 0.02% 672
2017
Q3
$1.81M Buy
44,430
+25,754
+138% +$1.05M 0.15% 116
2017
Q2
$725K Buy
+18,676
New +$725K 0.07% 242
2017
Q1
Hold
0
1076
2016
Q4
Sell
-16,550
Closed -$595K 1061
2016
Q3
$595K Buy
+16,550
New +$595K 0.06% 351
2015
Q4
Sell
-9,026
Closed -$262K 401
2015
Q3
$262K Buy
+9,026
New +$262K 0.07% 366
2014
Q3
Sell
-30,518
Closed -$950K 669
2014
Q2
$950K Buy
+30,518
New +$950K 0.1% 103
2014
Q1
Sell
-15,500
Closed -$518K 455
2013
Q4
$518K Buy
+15,500
New +$518K 0.09% 148
2013
Q3
Sell
-12,468
Closed -$362K 479
2013
Q2
$362K Buy
+12,468
New +$362K 0.07% 276