Amundi Asset Management US’s McKesson MCK Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q1
$81.8M Sell
419,297
-18,851
-4% -$3.68M 0.06% 314
2020
Q4
$76.2M Sell
438,148
-59,763
-12% -$10.4M 0.06% 301
2020
Q3
$74.2M Sell
497,911
-366,568
-42% -$54.6M 0.08% 252
2020
Q2
$133M Buy
864,479
+61,184
+8% +$9.39M 0.16% 131
2020
Q1
$63.1M Sell
803,295
-113,663
-12% -$8.93M 0.11% 180
2019
Q4
$127M Buy
916,958
+324,828
+55% +$44.9M 0.15% 152
2019
Q3
$80.9M Buy
592,130
+397,211
+204% +$54.3M 0.12% 183
2019
Q2
$26.2M Sell
194,919
-17,379
-8% -$2.34M 0.02% 510
2019
Q1
$24.9M Buy
212,298
+32,844
+18% +$3.84M 0.04% 455
2018
Q4
$19.8K Buy
179,454
+30,148
+20% +$3.33K 0.02% 479
2018
Q3
$19.8M Buy
149,306
+12,015
+9% +$1.59M 0.03% 538
2018
Q2
$18.3M Sell
137,291
-416,264
-75% -$55.5M 0.03% 548
2018
Q1
$78M Buy
553,555
+162,248
+41% +$22.9M 0.13% 180
2017
Q4
$61M Buy
+391,307
New +$61M 0.09% 213
2016
Q2
Sell
-11,804
Closed -$1.86M 579
2016
Q1
$1.86M Sell
11,804
-225,613
-95% -$35.5M 0.01% 504
2015
Q4
$46.8M Sell
237,417
-248,513
-51% -$49M 0.18% 124
2015
Q3
$89.9M Buy
485,930
+9,146
+2% +$1.69M 0.37% 77
2015
Q2
$107M Buy
476,784
+9,448
+2% +$2.12M 0.39% 78
2015
Q1
$106M Buy
467,336
+3,346
+0.7% +$757K 0.38% 81
2014
Q4
$96.3M Sell
463,990
-403
-0.1% -$83.7K 0.35% 87
2014
Q3
$90.4M Sell
464,393
-1,300
-0.3% -$253K 0.34% 90
2014
Q2
$86.7M Buy
465,693
+62,935
+16% +$11.7M 0.33% 90
2014
Q1
$71.1M Buy
402,758
+199,229
+98% +$35.2M 0.27% 104
2013
Q4
$32.9M Buy
203,529
+188,082
+1,218% +$30.4M 0.13% 191
2013
Q3
$1.98M Sell
15,447
-2,047
-12% -$263K 0.01% 539
2013
Q2
$2M Buy
+17,494
New +$2M 0.01% 539