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Citigroup Inc position in MTCH

MATCH GROUP INC NEW · Technology

Latest position (Q2 2026)105.40K sh
Reported value held$4.01M
Portfolio Weight0.00%
First reportedQ3 2021
Last changeReduce

Quarter by quarter

QuarterSharesValueChange
Q3 2021 495.32K $77.76M New
Q4 2021 687.27K $90.89M Add
Q1 2022 638.99K $69.48M Reduce
Q2 2022 539.76K $37.62M Reduce
Q3 2022 570.87K $27.26M Add
Q4 2022 276.04K $11.45M Reduce
Q1 2023 251.92K $9.67M Reduce
Q2 2023 207.69K $8.69M Reduce
Q3 2023 224.44K $8.79M Add
Q4 2023 243.35K $8.88M Add
Q1 2024 1.59M $57.77M Add
Q2 2024 3.54M $107.42M Add
Q3 2024 895.55K $33.89M Reduce
Q4 2024 1.16M $37.82M Add
Q1 2025 1.09M $33.88M Reduce
Q2 2025 566.14K $17.49M Reduce
Q3 2025 390.30K $13.79M Reduce
Q4 2025 380.80K $12.30M Reduce
Q1 2026 134.87K $4.14M Reduce
Q2 2026 105.40K $4.01M Reduce

Dots on the line are colored by change type; missing quarters mean no position was reported.

Other funds holding MTCH

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