Aberdeen Group
YUMC icon

Aberdeen Group’s Yum China YUMC Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$5.19M Buy
116,828
+13,088
+13% +$581K 0.01% 699
2025
Q1
$5.34M Sell
103,740
-313,608
-75% -$16.2M 0.01% 675
2024
Q4
$20.2M Buy
417,348
+46,819
+13% +$2.26M 0.04% 367
2024
Q3
$16.9M Sell
370,529
-1,386
-0.4% -$63.1K 0.03% 425
2024
Q2
$11.5M Buy
371,915
+25,691
+7% +$792K 0.02% 485
2024
Q1
$13.8M Buy
346,224
+34,152
+11% +$1.36M 0.03% 493
2023
Q4
$13.2M Sell
312,072
-14,319
-4% -$608K 0.03% 489
2023
Q3
$18.2M Buy
326,391
+54,245
+20% +$3.02M 0.05% 333
2023
Q2
$15.4M Buy
272,146
+19,406
+8% +$1.1M 0.04% 392
2023
Q1
$16M Buy
252,740
+44,541
+21% +$2.82M 0.04% 386
2022
Q4
$11.4M Sell
208,199
-484,286
-70% -$26.5M 0.03% 431
2022
Q3
$32.8M Sell
692,485
-237,256
-26% -$11.2M 0.1% 224
2022
Q2
$44.6M Sell
929,741
-473,857
-34% -$22.7M 0.14% 149
2022
Q1
$58.8M Sell
1,403,598
-27,699
-2% -$1.16M 0.15% 145
2021
Q4
$71.3M Buy
1,431,297
+28,244
+2% +$1.41M 0.16% 140
2021
Q3
$82.7M Buy
1,403,053
+21,112
+2% +$1.24M 0.19% 118
2021
Q2
$91.6M Sell
1,381,941
-54,930
-4% -$3.64M 0.2% 108
2021
Q1
$85.1M Sell
1,436,871
-57,131
-4% -$3.38M 0.19% 112
2020
Q4
$85.3M Sell
1,494,002
-2,773,064
-65% -$158M 0.21% 108
2020
Q3
$226M Sell
4,267,066
-768,099
-15% -$40.7M 0.6% 41
2020
Q2
$242M Buy
5,035,165
+186,284
+4% +$8.95M 0.66% 39
2020
Q1
$207M Sell
4,848,881
-1,364,658
-22% -$58.2M 0.66% 41
2019
Q4
$298M Sell
6,213,539
-435,888
-7% -$20.9M 0.72% 33
2019
Q3
$302M Sell
6,649,427
-1,751,269
-21% -$79.6M 0.75% 33
2019
Q2
$388M Sell
8,400,696
-11,403,000
-58% -$527M 0.86% 22
2019
Q1
$889M Sell
19,803,696
-3,417,655
-15% -$153M 1.93% 4
2018
Q4
$775M Sell
23,221,351
-1,686,036
-7% -$56.3M 1.84% 5
2018
Q3
$874M Sell
24,907,387
-4,756,776
-16% -$167M 1.63% 7
2018
Q2
$1.14B Sell
29,664,163
-1,057,215
-3% -$40.7M 2.19% 2
2018
Q1
$1.28B Sell
30,721,378
-294,077
-0.9% -$12.2M 2.53% 2
2017
Q4
$1.24B Buy
31,015,455
+3,638,955
+13% +$146M 2.37% 4
2017
Q3
$1.09B Buy
+27,376,500
New +$1.09B 2% 4