Ameriprise’s DXC Technology DXC Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$6.14M Sell
401,638
-16,043
-4% -$245K ﹤0.01% 2203
2025
Q1
$7.12M Sell
417,681
-31,200
-7% -$532K ﹤0.01% 2026
2024
Q4
$8.97M Sell
448,881
-40,986
-8% -$819K ﹤0.01% 1884
2024
Q3
$10.2M Sell
489,867
-2,251,454
-82% -$46.7M ﹤0.01% 1778
2024
Q2
$52.3M Buy
2,741,321
+2,094,179
+324% +$40M 0.01% 776
2024
Q1
$13.7M Sell
647,142
-8,981
-1% -$190K ﹤0.01% 1530
2023
Q4
$15M Sell
656,123
-2,336,752
-78% -$53.4M ﹤0.01% 1450
2023
Q3
$62.3M Buy
2,992,875
+8,235
+0.3% +$172K 0.02% 661
2023
Q2
$79.7M Sell
2,984,640
-216,524
-7% -$5.79M 0.03% 586
2023
Q1
$81.8M Buy
3,201,164
+527,177
+20% +$13.5M 0.03% 562
2022
Q4
$70.9M Sell
2,673,987
-712,214
-21% -$18.9M 0.02% 598
2022
Q3
$82.9M Buy
3,386,201
+480,410
+17% +$11.8M 0.03% 515
2022
Q2
$88.1M Buy
2,905,791
+459,548
+19% +$13.9M 0.03% 523
2022
Q1
$79.8M Buy
2,446,243
+34,368
+1% +$1.12M 0.02% 618
2021
Q4
$77.5M Sell
2,411,875
-14,824
-0.6% -$477K 0.02% 656
2021
Q3
$81.6M Buy
2,426,699
+471,703
+24% +$15.9M 0.03% 581
2021
Q2
$76.1M Sell
1,954,996
-41,641
-2% -$1.62M 0.02% 621
2021
Q1
$62.4M Sell
1,996,637
-453,959
-19% -$14.2M 0.02% 685
2020
Q4
$63.1M Sell
2,450,596
-18,722
-0.8% -$482K 0.02% 642
2020
Q3
$44.1M Sell
2,469,318
-9,498
-0.4% -$170K 0.02% 690
2020
Q2
$40.9M Sell
2,478,816
-186,099
-7% -$3.07M 0.02% 688
2020
Q1
$34.8M Sell
2,664,915
-2,613,381
-50% -$34.1M 0.02% 675
2019
Q4
$198M Buy
5,278,296
+1,453,699
+38% +$54.6M 0.08% 247
2019
Q3
$113M Buy
3,824,597
+110,377
+3% +$3.26M 0.05% 357
2019
Q2
$205M Buy
3,714,220
+117,844
+3% +$6.5M 0.09% 236
2019
Q1
$231M Buy
3,596,376
+1,151,742
+47% +$74.1M 0.11% 209
2018
Q4
$130M Buy
2,444,634
+14,927
+0.6% +$794K 0.07% 303
2018
Q3
$237M Buy
2,429,707
+26,822
+1% +$2.62M 0.08% 254
2018
Q2
$194M Buy
2,402,885
+378,680
+19% +$30.5M 0.09% 245
2018
Q1
$176M Sell
2,024,205
-566,099
-22% -$49.2M 0.08% 256
2017
Q4
$213M Sell
2,590,304
-83,744
-3% -$6.88M 0.1% 224
2017
Q3
$199M Buy
2,674,048
+145,395
+6% +$10.8M 0.09% 230
2017
Q2
$168M Buy
+2,528,653
New +$168M 0.08% 250