METROPOLITAN LIFE INSURANCE CO/NY – PayPal Holdings, Inc. Transaction History
METROPOLITAN LIFE INSURANCE CO/NY portfolio value:
$5.81M
portfolio value
METROPOLITAN LIFE INSURANCE CO/NY quarter portfolio value change:
+23.24%
quarter
PayPal Holdings, Inc. 13F transactions
Quarter | Transaction type | Change | Relative change | Absolute change | Change value | Avg. price | Shares |
---|---|---|---|---|---|---|---|
Q3 2022 | share | Decrease | -1.32% | -905 shares | 1.03M | $86.07 | 67.52K |
Q2 2022 | share | Decrease | -3.03% | -2.13K shares | -3.38M | $69.84 | 68.43K |
Q1 2022 | share | Decrease | -62.42% | -117.24K shares | -27.25M | $115.65 | 70.57K |
Q4 2021 | share | Decrease | -1.74% | -3.33K shares | -14.32M | $191.88 | 187.81K |
Q3 2021 | share | Decrease | -3.39% | -6.71K shares | -7.93M | $260.21 | 191.14K |
Q2 2021 | share | Increase | +96891.18% | 197.65K shares | 57.62M | $291.48 | 197.86K |
Q1 2021 | share | Decrease | -99.91% | -215.23K shares | -50.40M | $242.84 | 204 |
Q4 2020 | share | Decrease | -3.87% | -8.68K shares | 6.29M | $234.2 | 215.44K |
Q3 2020 | share | Decrease | -3.94% | -9.20K shares | 3.50M | $197.03 | 224.12K |
Q2 2020 | share | Increase | +2.19% | 5.00K shares | 18.79M | $174.23 | 233.33K |
Q1 2020 | share | Decrease | -1.42% | -3.27K shares | -3.19M | $95.74 | 228.32K |
Q4 2019 | share | Decrease | -0.67% | -1.57K shares | 898K | $108.17 | 231.60K |
Q3 2019 | share | Increase | +0.37% | 868 shares | -2.43M | $103.59 | 233.17K |
Q2 2019 | share | Increase | +5.46% | 12.02K shares | 3.71M | $114.46 | 232.31K |
Q1 2019 | share | Decrease | -4.44% | -10.24K shares | 3.48M | $103.84 | 220.29K |
Q4 2018 | share | Decrease | -0.73% | -1.68K shares | -1.01M | $84.09 | 230.53K |
Q3 2018 | share | Increase | +1.24% | 2.83K shares | 1.29M | $87.84 | 232.22K |
Q2 2018 | share | Increase | +2.08% | 4.67K shares | 2.05M | $83.27 | 229.38K |
Q1 2018 | share | Increase | +0.36% | 809 shares | 565.20K | $75.87 | 224.71K |
Q4 2017 | share | Decrease | -61.71% | -360.90K shares | -20.96M | $73.62 | 223.90K |
Q3 2017 | share | Decrease | -0.26% | -1.50K shares | 5.97M | $64.03 | 584.81K |
Q2 2017 | share | Decrease | -2.09% | -12.50K shares | 5.70M | $53.67 | 586.31K |
Q1 2017 | share | Decrease | -1.29% | -7.81K shares | 1.81M | $43.02 | 598.82K |
Q4 2016 | share | Decrease | -2.74% | -17.11K shares | -1.61M | $39.47 | 606.63K |
Q3 2016 | share | Increase | +0.27% | 1.69K shares | 2.84M | $40.97 | 623.74K |
Q2 2016 | share | Decrease | -2.61% | -16.65K shares | -1.94M | $36.51 | 622.05K |
Q1 2016 | share | Decrease | -1.24% | -8.05K shares | 1.24M | $38.6 | 638.71K |