VOYA Investment Management
FLIR

VOYA Investment Management’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
-52,129
Closed -$2.94M 2964
2021
Q1
$2.94M Sell
52,129
-1,163
-2% -$65.7K 0.01% 1020
2020
Q4
$2.34M Sell
53,292
-155,779
-75% -$6.83M ﹤0.01% 1071
2020
Q3
$7.5M Sell
209,071
-46,041
-18% -$1.65M 0.02% 613
2020
Q2
$10.4M Sell
255,112
-19,321
-7% -$784K 0.02% 514
2020
Q1
$8.75M Sell
274,433
-1,503,807
-85% -$48M 0.02% 525
2019
Q4
$92.6M Sell
1,778,240
-321,514
-15% -$16.7M 0.19% 120
2019
Q3
$110M Buy
2,099,754
+65,982
+3% +$3.47M 0.24% 100
2019
Q2
$110M Buy
2,033,772
+1,773,394
+681% +$95.9M 0.24% 100
2019
Q1
$12.4M Sell
260,378
-939,920
-78% -$44.7M 0.03% 517
2018
Q4
$52.3M Buy
1,200,298
+1,034,439
+624% +$45M 0.13% 168
2018
Q3
$10.2M Sell
165,859
-30,076
-15% -$1.85M 0.02% 608
2018
Q2
$10.2M Sell
195,935
-16,425
-8% -$854K 0.02% 595
2018
Q1
$10.6M Sell
212,360
-1,379,639
-87% -$69M 0.02% 568
2017
Q4
$74.2M Sell
1,591,999
-162,503
-9% -$7.58M 0.15% 149
2017
Q3
$68.3M Buy
1,754,502
+1,670,473
+1,988% +$65M 0.15% 150
2017
Q2
$2.91M Sell
84,029
-2,448,922
-97% -$84.9M 0.01% 925
2017
Q1
$91.9M Buy
2,532,951
+146,511
+6% +$5.32M 0.21% 106
2016
Q4
$86.4M Sell
2,386,440
-28,841
-1% -$1.04M 0.21% 111
2016
Q3
$75.9K Buy
2,415,281
+1,179,443
+95% +$37.1K 0.14% 128
2016
Q2
$38.2M Buy
1,235,838
+410,185
+50% +$12.7M 0.09% 211
2016
Q1
$27.2M Sell
825,653
-269,580
-25% -$8.88M 0.07% 271
2015
Q4
$30.7M Buy
1,095,233
+116,735
+12% +$3.28M 0.08% 254
2015
Q3
$27.4M Buy
978,498
+5,007
+0.5% +$140K 0.07% 269
2015
Q2
$30M Buy
973,491
+269,086
+38% +$8.29M 0.07% 274
2015
Q1
$22M Buy
704,405
+77,934
+12% +$2.44M 0.05% 340
2014
Q4
$20.2M Buy
626,471
+23,007
+4% +$743K 0.04% 371
2014
Q3
$18.9M Sell
603,464
-8,461
-1% -$265K 0.04% 368
2014
Q2
$21.3M Sell
611,925
-82,222
-12% -$2.86M 0.05% 355
2014
Q1
$25M Sell
694,147
-1,227,152
-64% -$44.2M 0.06% 299
2013
Q4
$57.8M Buy
1,921,299
+132,316
+7% +$3.98M 0.13% 151
2013
Q3
$56.2M Sell
1,788,983
-1,421,264
-44% -$44.6M 0.14% 153
2013
Q2
$86.6M Buy
+3,210,247
New +$86.6M 0.24% 95