WBC
LYB icon

Westpac Banking Corp’s LyondellBasell Industries LYB Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2023
Q2
Sell
-30,460
Closed -$2.86M 665
2023
Q1
$2.86M Sell
30,460
-5,270
-15% -$495K 0.04% 465
2022
Q4
$2.97M Sell
35,730
-10,865
-23% -$902K 0.04% 431
2022
Q3
$3.51M Buy
46,595
+12,992
+39% +$978K 0.05% 391
2022
Q2
$2.94M Buy
33,603
+3,798
+13% +$332K 0.04% 467
2022
Q1
$3.06M Buy
+29,805
New +$3.06M 0.04% 485
2021
Q4
Sell
-58,342
Closed -$5.48M 844
2021
Q3
$5.48M Sell
58,342
-5,055
-8% -$474K 0.06% 404
2021
Q2
$6.52M Buy
+63,397
New +$6.52M 0.07% 375
2021
Q1
Sell
-64,833
Closed -$5.94M 818
2020
Q4
$5.94M Buy
64,833
+4,729
+8% +$433K 0.07% 367
2020
Q3
$4.24M Sell
60,104
-800
-1% -$56.4K 0.06% 384
2020
Q2
$4M Sell
60,904
-16,695
-22% -$1.1M 0.06% 392
2020
Q1
$3.85M Buy
77,599
+11,300
+17% +$561K 0.07% 338
2019
Q4
$6.26M Buy
66,299
+300
+0.5% +$28.3K 0.08% 343
2019
Q3
$5.9M Buy
+65,999
New +$5.9M 0.08% 329
2019
Q1
Sell
-22,131
Closed -$1.84M 777
2018
Q4
$1.84M Buy
+22,131
New +$1.84M 0.03% 468
2017
Q4
Sell
-22,131
Closed -$2.19M 748
2017
Q3
$2.19M Sell
22,131
-727
-3% -$72K 0.05% 385
2017
Q2
$1.93M Sell
22,858
-178,040
-89% -$15M 0.04% 399
2017
Q1
$18.3M Buy
200,898
+64,322
+47% +$5.87M 0.15% 156
2016
Q4
$16.2M Buy
136,576
+23,748
+21% +$2.81M 0.15% 147
2016
Q3
$9.1M Sell
112,828
-73,740
-40% -$5.95M 0.1% 205
2016
Q2
$12.4M Buy
186,568
+34,748
+23% +$2.3M 0.14% 175
2016
Q1
$13M Buy
151,820
+12,518
+9% +$1.07M 0.14% 155
2015
Q4
$12.1M Buy
139,302
+89,803
+181% +$7.8M 0.13% 173
2015
Q3
$4.13M Sell
49,499
-186,651
-79% -$15.6M 0.05% 338
2015
Q2
$24.4M Sell
236,150
-136,135
-37% -$14.1M 0.24% 85
2015
Q1
$37.9M Sell
372,285
-106,529
-22% -$10.8M 0.33% 65
2014
Q4
$38M Sell
478,814
-2,010,087
-81% -$160M 0.36% 54
2014
Q3
$270M Sell
2,488,901
-91,186
-4% -$9.91M 2.64% 1
2014
Q2
$252M Buy
2,580,087
+395,275
+18% +$38.6M 2.43% 1
2014
Q1
$194M Sell
2,184,812
-266,813
-11% -$23.7M 2.07% 3
2013
Q4
$197M Sell
2,451,625
-1,968
-0.1% -$158K 2.25% 2
2013
Q3
$180M Buy
2,453,593
+45,302
+2% +$3.32M 2.25% 3
2013
Q2
$138M Buy
+2,408,291
New +$138M 2.12% 1