A detailed history of Met Life Investment Management, LLC transactions in Community Health Systems Inc stock. As of the latest transaction made, Met Life Investment Management, LLC holds 43,287 shares of CYH stock, worth $148,474. This represents 0.0% of its overall portfolio holdings.

Number of Shares
43,287
Holding current value
$148,474
% of portfolio
0.0%

Shares

52 transactions
Quarter Operation Price Per share shares change shares Held SEC Form
Q1 2024

May 14, 2024

BUY
$2.64 - $4.16 $114,277 - $180,073
43,287 New
43,287 $151,000
Q2 2023

Apr 29, 2024

BUY
$3.07 - $6.34 $211,787 - $437,371
68,986 New
68,986 $303,000
Q1 2023

May 09, 2024

BUY
$4.4 - $7.94 $303,538 - $547,748
68,986 New
68,986 $338 Million
Q3 2022

May 10, 2024

BUY
$2.15 - $5.18 $16,883 - $40,678
7,853 Added 12.85%
68,986 $148,000
Q3 2022

Mar 22, 2023

BUY
$2.15 - $5.18 $16,883 - $40,678
7,853 Added 12.85%
68,986 $148,000
Q3 2022

Nov 14, 2022

BUY
$2.15 - $5.18 $16,883 - $40,678
7,853 Added 12.85%
68,986 $148,000
Q2 2022

May 10, 2024

SELL
$3.75 - $11.94 $30,547 - $97,263
-8,146 Reduced 11.76%
61,133 $229,000
Q2 2022

Jun 20, 2023

SELL
$3.75 - $11.94 $29,448 - $93,764
-7,853 Reduced 11.38%
61,133 $229,000
Q2 2022

Mar 22, 2023

SELL
$3.75 - $11.94 $30,547 - $97,263
-8,146 Reduced 11.76%
61,133 $229,000
Q2 2022

Aug 11, 2022

SELL
$3.75 - $11.94 $30,547 - $97,263
-8,146 Reduced 11.76%
61,133 $229,000
Q1 2022

May 10, 2024

BUY
$9.6 - $14.28 $665,078 - $989,304
69,279 New
69,279 $822,000
Q1 2022

Jun 20, 2023

BUY
$9.6 - $14.28 $2,812 - $4,184
293 Added 0.42%
69,279 $822,000
Q1 2022

Mar 22, 2023

BUY
$9.6 - $14.28 $231,350 - $344,133
24,099 Added 53.34%
69,279 $822,000
Q1 2022

May 12, 2022

BUY
$9.6 - $14.28 $231,350 - $344,133
24,099 Added 53.34%
69,279 $822,000
Q4 2021

Jun 21, 2023

SELL
$9.78 - $14.94 $232,822 - $355,661
-23,806 Reduced 34.51%
45,180 $601,000
Q3 2021

Jun 21, 2023

SELL
$10.8 - $16.09 $257,104 - $383,038
-23,806 Reduced 34.51%
45,180 $528,000
Q2 2021

May 17, 2024

BUY
$9.67 - $16.65 $110,982 - $191,092
11,477 Added 34.05%
45,180 $697,000
Q2 2021

Jun 21, 2023

SELL
$9.67 - $16.65 $230,204 - $396,369
-23,806 Reduced 34.51%
45,180 $697,000
Q2 2021

Mar 22, 2023

BUY
$9.67 - $16.65 $110,982 - $191,092
11,477 Added 34.05%
45,180 $697,000
Q2 2021

Aug 16, 2021

BUY
$9.67 - $16.65 $110,982 - $191,092
11,477 Added 34.05%
45,180 $698,000
Q1 2021

May 17, 2024

SELL
$7.28 - $13.96 $69,771 - $133,792
-9,584 Reduced 22.14%
33,703 $455,000
Q1 2021

Jun 26, 2023

SELL
$7.28 - $13.96 $256,860 - $492,550
-35,283 Reduced 51.15%
33,703 $456 Million
Q1 2021

Mar 22, 2023

BUY
$7.28 - $13.96 $56,776 - $108,874
7,799 Added 30.11%
33,703 $455,000
Q1 2021

May 14, 2021

BUY
$7.28 - $13.96 $56,776 - $108,874
7,799 Added 30.11%
33,703 $456,000
Q4 2020

May 24, 2024

BUY
$4.32 - $9.79 $18,986 - $43,027
4,395 Added 20.43%
25,904 $192,000
Q4 2020

Jun 22, 2023

SELL
$4.32 - $9.79 $186,114 - $421,772
-43,082 Reduced 62.45%
25,904 $192,000
Q4 2020

Mar 22, 2023

BUY
$4.32 - $9.79 $18,986 - $43,027
4,395 Added 20.43%
25,904 $192,000
Q4 2020

Feb 16, 2021

BUY
$4.32 - $9.79 $18,986 - $43,027
4,395 Added 20.43%
25,904 $192,000
Q3 2020

May 24, 2024

SELL
$3.01 - $5.43 $59,354 - $107,074
-19,719 Reduced 47.83%
21,509 $90.8 Million
Q3 2020

Jun 26, 2023

SELL
$3.01 - $5.43 $142,905 - $257,800
-47,477 Reduced 68.82%
21,509 $90,000
Q3 2020

Mar 22, 2023

SELL
$3.01 - $5.43 $59,354 - $107,074
-19,719 Reduced 47.83%
21,509 $90,000
Q3 2020

Nov 13, 2020

SELL
$3.01 - $5.43 $59,354 - $107,074
-19,719 Reduced 47.83%
21,509 $91,000
Q2 2020

May 24, 2024

SELL
$2.63 - $4.11 $5,415 - $8,462
-2,059 Reduced 4.76%
41,228 $124 Million
Q2 2020

Jun 26, 2023

SELL
$2.63 - $4.11 $73,003 - $114,085
-27,758 Reduced 40.24%
41,228 $124,000
Q1 2020

Jul 12, 2023

SELL
$2.41 - $7.18 $66,896 - $199,302
-27,758 Reduced 40.24%
41,228 $137,000
Q1 2020

Mar 22, 2023

BUY
$2.41 - $7.18 $70,909 - $211,257
29,423 Added 249.24%
41,228 $137,000
Q1 2020

May 15, 2020

BUY
$2.41 - $7.18 $70,909 - $211,257
29,423 Added 249.24%
41,228 $138,000
Q4 2019

Jul 12, 2023

SELL
$2.77 - $4.6 $158,391 - $263,032
-57,181 Reduced 82.89%
11,805 $34,000
Q4 2019

Mar 22, 2023

SELL
$2.77 - $4.6 $89,185 - $148,106
-32,197 Reduced 73.17%
11,805 $34,000
Q4 2019

Feb 14, 2020

SELL
$2.77 - $4.6 $89,185 - $148,106
-32,197 Reduced 73.17%
11,805 $34,000
Q3 2019

Jul 12, 2023

SELL
$1.81 - $3.89 $45,221 - $97,187
-24,984 Reduced 36.22%
44,002 $158,000
Q3 2019

Mar 22, 2023

BUY
$1.81 - $3.89 $653 - $1,404
361 Added 0.83%
44,002 $158,000
Q3 2019

Nov 14, 2019

BUY
$1.81 - $3.89 $653 - $1,404
361 Added 0.83%
44,002 $158,000
Q2 2019

Jul 12, 2023

SELL
$2.5 - $3.85 $63,362 - $97,578
-25,345 Reduced 36.74%
43,641 $116,000
Q1 2019

Jul 13, 2023

SELL
$3.14 - $5.13 $79,583 - $130,019
-25,345 Reduced 36.74%
43,641 $162,000
Q4 2018

Jul 13, 2023

SELL
$2.62 - $4.97 $66,403 - $125,964
-25,345 Reduced 36.74%
43,641 $123,000
Q4 2018

Mar 22, 2023

SELL
$2.62 - $4.97 $67,360 - $127,778
-25,710 Reduced 37.07%
43,641 $123,000
Q4 2018

Feb 14, 2019

SELL
$2.62 - $4.97 $67,360 - $127,778
-25,710 Reduced 37.07%
43,641 $123,000
Q3 2018

Jul 13, 2023

SELL
$2.69 - $3.88 $68,178 - $98,338
-25,345 Reduced 36.74%
43,641 $150,000
Q3 2018

Mar 22, 2023

BUY
$2.69 - $3.88 $981 - $1,416
365 Added 0.53%
69,351 $239,000
Q3 2018

Nov 14, 2018

BUY
$2.69 - $3.88 $69,783 - $100,654
25,942 Added 59.76%
69,351 $240,000
Q4 2017

Feb 15, 2018

BUY
$3.99 - $7.83 $173,201 - $339,892
43,409
43,409 $185,000

Others Institutions Holding CYH

About COMMUNITY HEALTH SYSTEMS INC


  • Ticker CYH
  • Exchange NYSE
  • Sector Healthcare
  • Industry Medical Care Facilities
  • Shares Outstandng 134,698,000
  • Market Cap $462M
  • Description
  • Community Health Systems, Inc. owns, leases, and operates general acute care hospitals in the United States. It offers general acute care, emergency room, general and specialty surgery, critical care, internal medicine, obstetrics, diagnostic, psychiatric, and rehabilitation services, as well as skilled nursing and home care services. The compan...
More about CYH
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