VOYA Investment Management
PLCE icon

VOYA Investment Management’s Children's Place PLCE Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q2
Sell
-5,360
Closed -$264K 2863
2022
Q1
$264K Sell
5,360
-92
-2% -$4.53K ﹤0.01% 2231
2021
Q4
$432K Sell
5,452
-46
-0.8% -$3.65K ﹤0.01% 2104
2021
Q3
$414K Sell
5,498
-137
-2% -$10.3K ﹤0.01% 2161
2021
Q2
$524K Sell
5,635
-514
-8% -$47.8K ﹤0.01% 2054
2021
Q1
$429K Buy
6,149
+48
+0.8% +$3.35K ﹤0.01% 2114
2020
Q4
$306K Buy
+6,101
New +$306K ﹤0.01% 2180
2020
Q1
Sell
-7,520
Closed -$470K 2661
2019
Q4
$470K Buy
7,520
+1,458
+24% +$91.1K ﹤0.01% 1919
2019
Q3
$467K Sell
6,062
-370,144
-98% -$28.5M ﹤0.01% 1806
2019
Q2
$35.9M Sell
376,206
-131,952
-26% -$12.6M 0.08% 241
2019
Q1
$49.4M Sell
508,158
-30,236
-6% -$2.94M 0.11% 187
2018
Q4
$48.5M Sell
538,394
-30,337
-5% -$2.73M 0.12% 184
2018
Q3
$72.7M Sell
568,731
-66,857
-11% -$8.54M 0.15% 151
2018
Q2
$76.8M Buy
635,588
+194,722
+44% +$23.5M 0.16% 140
2018
Q1
$59.6M Sell
440,866
-57,983
-12% -$7.84M 0.13% 177
2017
Q4
$72.5M Sell
498,849
-102,943
-17% -$15M 0.15% 154
2017
Q3
$71.1M Buy
601,792
+50,324
+9% +$5.95M 0.15% 146
2017
Q2
$56.3M Buy
551,468
+157,333
+40% +$16.1M 0.13% 168
2017
Q1
$47.3M Buy
394,135
+32,413
+9% +$3.89M 0.11% 190
2016
Q4
$36.5M Sell
361,722
-9,789
-3% -$988K 0.09% 227
2016
Q3
$29.7K Sell
371,511
-33,822
-8% -$2.7K 0.06% 259
2016
Q2
$32.5M Buy
405,333
+51,623
+15% +$4.14M 0.08% 245
2016
Q1
$29.5M Sell
353,710
-205,012
-37% -$17.1M 0.07% 252
2015
Q4
$30.8M Sell
558,722
-14,775
-3% -$816K 0.08% 253
2015
Q3
$33.1M Sell
573,497
-9,684
-2% -$558K 0.08% 237
2015
Q2
$38.1M Sell
583,181
-36,653
-6% -$2.4M 0.09% 228
2015
Q1
$39.8M Sell
619,834
-67,447
-10% -$4.33M 0.09% 227
2014
Q4
$39.2M Sell
687,281
-8,853
-1% -$505K 0.09% 224
2014
Q3
$33.2M Sell
696,134
-8,961
-1% -$427K 0.08% 250
2014
Q2
$35M Sell
705,095
-6,061
-0.9% -$301K 0.08% 256
2014
Q1
$35.4M Buy
711,156
+91,925
+15% +$4.58M 0.08% 237
2013
Q4
$35.3M Buy
619,231
+23,900
+4% +$1.36M 0.08% 234
2013
Q3
$34.4M Sell
595,331
-5,300
-0.9% -$307K 0.09% 226
2013
Q2
$32.9M Buy
+600,631
New +$32.9M 0.09% 207