Advisory Services Network’s Cognizant CTSH Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$598K Buy
9,752
+616
+7% +$44.1K 0.01% 1187
2025
Q4
$758K Sell
9,136
-70
-0.8% -$5.24K 0.01% 1011
2025
Q3
$618K Sell
9,206
-62
-0.7% -$4.48K 0.01% 1088
2025
Q2
$665K Sell
9,268
-10
-0.1% -$766 0.01% 1032
2025
Q1
$710K Sell
9,278
-2,467
-21% -$201K 0.01% 905
2024
Q4
$903K Sell
11,745
-1,076
-8% -$84.2K 0.02% 781
2024
Q3
$872K Hold
12,821
0.02% 767
2024
Q2
$872K Sell
12,821
-338
-3% -$22.9K 0.02% 767
2024
Q1
$964K Buy
13,159
+106
+0.8% +$8.1K 0.02% 697
2023
Q4
$986K Buy
13,053
+50
+0.4% +$3.45K 0.02% 639
2023
Q3
$881K Sell
13,003
-124
-0.9% -$8.56K 0.02% 682
2023
Q2
$857K Buy
13,127
+459
+4% +$28.4K 0.02% 683
2023
Q1
$772K Buy
12,668
+5,073
+67% +$318K 0.02% 718
2022
Q4
$434K Buy
7,595
+1,304
+21% +$76.5K 0.01% 925
2022
Q3
$362K Sell
6,291
-839
-12% -$55K 0.01% 950
2022
Q2
$479K Sell
7,130
-886
-11% -$67.8K 0.02% 843
2022
Q1
$719K Buy
8,016
+1,499
+23% +$132K 0.02% 749
2021
Q4
$578K Buy
6,517
+76
+1% +$6.11K 0.02% 824
2021
Q3
$478K Buy
6,441
+179
+3% +$13.2K 0.02% 895
2021
Q2
$433K Buy
6,262
+312
+5% +$23.2K 0.01% 933
2021
Q1
$465K Buy
5,950
+1,098
+23% +$84.8K 0.02% 867
2020
Q4
$398K Sell
4,852
-963
-17% -$73.3K 0.02% 829
2020
Q3
$403K Buy
5,815
+311
+6% +$20.2K 0.02% 711
2020
Q2
$312K Sell
5,504
-505
-8% -$27.1K 0.02% 778
2020
Q1
$279K Sell
6,009
-465
-7% -$27.7K 0.02% 695
2019
Q4
$402K Sell
6,474
-1,866
-22% -$115K 0.02% 681
2019
Q3
$528K Hold
8,340
0.03% 542
2019
Q2
$528K Sell
8,340
-578
-6% -$37.9K 0.03% 541
2019
Q1
$647K Buy
8,918
+1,694
+23% +$119K 0.05% 465
2018
Q4
$458K Buy
7,224
+134
+2% +$9.32K 0.04% 487
2018
Q3
$547K Buy
7,090
+938
+15% +$73.4K 0.04% 493
2018
Q2
$509K Sell
6,152
-1,359
-18% -$107K 0.04% 496
2018
Q1
$605K Buy
7,511
+985
+15% +$77.9K 0.05% 473
2017
Q4
$463K Buy
6,526
+232
+4% +$17K 0.04% 511
2017
Q3
$457K Buy
6,294
+3,260
+107% +$229K 0.05% 420
2017
Q2
$201K Sell
3,034
-194
-6% -$12.3K 0.03% 624
2017
Q1
$192K Buy
+3,228
New +$186K 0.03% 616
2016
Q3
$703K Buy
14,726
+1,613
+12% +$91.8K 0.13% 204
2016
Q2
$751K Sell
13,113
-177
-1% -$10.7K 0.17% 162
2016
Q1
$833K Buy
13,290
+1,745
+15% +$101K 0.23% 112
2015
Q4
$693K Buy
11,545
+500
+5% +$32.2K 0.22% 112
2015
Q3
$692K Buy
11,045
+675
+7% +$42.4K 0.21% 107
2015
Q2
$644K Buy
10,370
+1,990
+24% +$125K 0.19% 118
2015
Q1
$523K Buy
8,380
+2,020
+32% +$119K 0.14% 159
2014
Q4
$354K Buy
6,360
+910
+17% +$45.5K 0.11% 191
2014
Q3
$244K Buy
5,450
+460
+9% +$21.6K 0.09% 234
2014
Q2
$244K Buy
4,990
+930
+23% +$45.3K 0.1% 207
2014
Q1
$205K Sell
4,060
-264
-6% -$13.2K 0.11% 193
2013
Q4
$218K Buy
+4,324
New +$197K 0.11% 169

Other funds holding CTSH