A detailed history of Met Life Investment Management, LLC transactions in Amcor PLC stock. As of the latest transaction made, Met Life Investment Management, LLC holds 375,696 shares of AMCR stock, worth $3.81 Million. This represents 0.02% of its overall portfolio holdings.

Number of Shares
375,696
Previous 385,382 2.51%
Holding current value
$3.81 Million
Previous $3.77 Million 12.92%
% of portfolio
0.02%
Previous 0.02%

Shares

35 transactions
Quarter Operation Price Per share shares change shares Held SEC Form
Q3 2024

Nov 13, 2024

SELL
$9.5 - $11.44 $92,017 - $110,807
-9,686 Reduced 2.51%
375,696 $4.26 Million
Q2 2024

Aug 13, 2024

BUY
$8.83 - $10.43 $415,610 - $490,919
47,068 Added 13.91%
385,382 $3.77 Million
Q1 2024

May 14, 2024

BUY
$8.87 - $9.84 $3 Million - $3.33 Million
338,314 New
338,314 $3.22 Million
Q4 2023

Feb 14, 2024

SELL
$8.45 - $9.74 $84,973 - $97,945
-10,056 Reduced 2.79%
350,760 $3.38 Million
Q3 2023

May 09, 2024

SELL
$9.03 - $10.26 $3.43 Million - $3.9 Million
-380,071 Reduced 99.14%
3,291 $30,000
Q3 2023

Apr 29, 2024

SELL
$9.03 - $10.26 $115,692 - $131,451
-12,812 Reduced 3.43%
360,816 $3.31 Million
Q3 2023

Nov 14, 2023

SELL
$9.03 - $10.26 $115,692 - $131,451
-12,812 Reduced 3.43%
360,816 $3.31 Million
Q2 2023

Apr 29, 2024

BUY
$9.64 - $11.31 $3.6 Million - $4.23 Million
373,628 New
373,628 $3.73 Million
Q2 2023

Aug 10, 2023

BUY
$9.64 - $11.31 $3.6 Million - $4.23 Million
373,628 New
373,628 $3.73 Million
Q1 2023

May 09, 2024

BUY
$10.7 - $12.2 $4.1 Million - $4.68 Million
383,362 New
383,362 $4.36 Billion
Q4 2022

May 10, 2024

SELL
$10.7 - $12.56 $104,100 - $122,196
-9,729 Reduced 2.44%
389,087 $4.64 Million
Q4 2022

Jun 14, 2023

BUY
$10.7 - $12.56 $4.16 Million - $4.89 Million
389,087 New
389,087 $4.63 Billion
Q3 2022

May 10, 2024

SELL
$10.67 - $13.08 $63,454 - $77,786
-5,947 Reduced 1.47%
398,816 $4.28 Million
Q3 2022

Jun 14, 2023

BUY
$10.67 - $13.08 $4.26 Million - $5.22 Million
398,816 New
398,816 $4.28 Billion
Q2 2022

May 10, 2024

SELL
$11.48 - $13.49 $81,243 - $95,468
-7,077 Reduced 1.72%
404,763 $5.03 Million
Q2 2022

Jun 20, 2023

BUY
$11.48 - $13.49 $4.65 Million - $5.46 Million
404,763 New
404,763 $5.03 Billion
Q1 2022

May 10, 2024

BUY
$10.79 - $12.41 $4.44 Million - $5.11 Million
411,840 New
411,840 $4.67 Million
Q1 2022

Jun 20, 2023

BUY
$10.79 - $12.41 $4.44 Million - $5.11 Million
411,840 New
411,840 $4.67 Billion
Q4 2021

May 17, 2024

SELL
$11.26 - $12.39 $106,857 - $117,581
-9,490 Reduced 2.73%
338,740 $4.07 Million
Q4 2021

Jun 21, 2023

BUY
$11.26 - $12.39 $3.81 Million - $4.2 Million
338,740 New
338,740 $4.07 Billion
Q3 2021

May 17, 2024

SELL
$11.25 - $12.85 $103,803 - $118,566
-9,227 Reduced 2.58%
348,230 $4.04 Million
Q3 2021

Jun 21, 2023

BUY
$11.25 - $12.85 $3.92 Million - $4.47 Million
348,230 New
348,230 $4.04 Billion
Q2 2021

May 17, 2024

SELL
$11.36 - $12.49 $167,684 - $184,364
-14,761 Reduced 3.97%
357,457 $4.1 Million
Q1 2021

May 17, 2024

BUY
$10.89 - $11.93 $369,214 - $404,474
33,904 Added 10.02%
372,218 $4.35 Million
Q1 2021

Jun 26, 2023

BUY
$10.89 - $11.93 $4.05 Million - $4.44 Million
372,218 New
372,218 $4.35 Billion
Q4 2020

May 24, 2024

SELL
$10.32 - $12.15 $173,014 - $203,694
-16,765 Reduced 4.22%
380,914 $4.48 Million
Q4 2020

Jun 22, 2023

BUY
$10.32 - $12.15 $3.93 Million - $4.63 Million
380,914 New
380,914 $4.48 Billion
Q3 2020

May 24, 2024

SELL
$10.3 - $11.43 $145,168 - $161,094
-14,094 Reduced 3.42%
397,679 $4.39 Billion
Q3 2020

Jun 26, 2023

BUY
$10.3 - $11.43 $4.1 Million - $4.55 Million
397,679 New
397,679 $4.39 Billion
Q2 2020

May 24, 2024

BUY
$7.84 - $10.88 $575,918 - $799,233
73,459 Added 21.71%
411,773 $4.2 Billion
Q2 2020

Jun 26, 2023

BUY
$7.84 - $10.88 $3.23 Million - $4.48 Million
411,773 New
411,773 $4.2 Billion
Q1 2020

Jul 12, 2023

BUY
$5.95 - $11.02 $2.48 Million - $4.6 Million
417,612 New
417,612 $3.39 Billion
Q4 2019

Jul 12, 2023

BUY
$9.23 - $10.95 $3.97 Million - $4.71 Million
430,389 New
430,389 $4.67 Billion
Q3 2019

Jul 12, 2023

BUY
$9.44 - $11.68 $4.17 Million - $5.16 Million
442,088 New
442,088 $4.31 Billion
Q2 2019

Jul 12, 2023

BUY
$10.59 - $11.69 $4.74 Million - $5.23 Million
447,385 New
447,385 $5.14 Billion

Others Institutions Holding AMCR

About Amcor plc


  • Ticker AMCR
  • Exchange OTC
  • Sector Consumer Cyclical
  • Industry Packaging & Containers
  • Shares Outstandng 1,489,020,032
  • Market Cap $15.1B
  • Description
  • Amcor plc develops, produces, and sells packaging products in Europe, North America, Latin America, Africa, and the Asia Pacific regions. The company operates through two segments, Flexibles and Rigid Packaging. The Flexibles segment provides flexible and film packaging products in the food and beverage, medical and pharmaceutical, fresh produce...
More about AMCR
Track This Portfolio

Track Met Life Investment Management, LLC Portfolio

Follow Met Life Investment Management, LLC and customize your updates to receive the information that matters most to you.

Portfolio Update

Get notified when there are updates to the investment portfolio of Met Life Investment Management, LLC, based on Form 13F filings with the SEC.

News

Stay updated on Met Life Investment Management, LLC with notifications on news.