APG Asset Management’s Boston Scientific BSX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$91.8M Buy
1,003,178
+27,912
+3% +$2.55M 0.27% 70
2025
Q1
$91.1M Sell
975,266
-45,951
-4% -$4.29M 0.28% 69
2024
Q4
$88.1M Buy
1,021,217
+818,675
+404% +$70.6M 0.25% 77
2024
Q3
$15.2M Sell
202,542
-1,089,754
-84% -$81.8M 0.1% 146
2024
Q2
$92.9M Buy
1,292,296
+310,101
+32% +$22.3M 0.17% 136
2024
Q1
$62.3M Sell
982,195
-89,132
-8% -$5.65M 0.11% 178
2023
Q4
$56.1M Sell
1,071,327
-47,219
-4% -$2.47M 0.11% 178
2023
Q3
$59.1M Sell
1,118,546
-138,790
-11% -$7.33M 0.12% 176
2023
Q2
$62.3M Sell
1,257,336
-20,116
-2% -$997K 0.13% 171
2023
Q1
$58.8M Sell
1,277,452
-219,458
-15% -$10.1M 0.12% 184
2022
Q4
$69.3M Buy
1,496,910
+1,185,996
+381% +$54.9M 0.13% 186
2022
Q3
$12.3M Buy
310,914
+26,919
+9% +$1.06M 0.03% 369
2022
Q2
$10.1M Buy
283,995
+128,028
+82% +$4.56M 0.02% 390
2022
Q1
$6.21M Sell
155,967
-27,400
-15% -$1.09M 0.01% 445
2021
Q4
$6.85M Sell
183,367
-76,200
-29% -$2.85M 0.01% 465
2021
Q3
$9.72M Buy
259,567
+132,700
+105% +$4.97M 0.02% 449
2021
Q2
$4.57M Sell
126,867
-103,556
-45% -$3.73M 0.01% 546
2021
Q1
$7.58M Sell
230,423
-376,583
-62% -$12.4M 0.01% 515
2020
Q4
$17.8M Sell
607,006
-382,692
-39% -$11.2M 0.03% 462
2020
Q3
$32.2M Sell
989,698
-49,181
-5% -$1.6M 0.06% 327
2020
Q2
$32.5M Buy
1,038,879
+38,015
+4% +$1.19M 0.06% 307
2020
Q1
$32.7M Buy
1,000,864
+484,800
+94% +$15.8M 0.06% 292
2019
Q4
$20.8M Buy
516,064
+67,800
+15% +$2.73M 0.03% 425
2019
Q3
$16.7M Sell
448,264
-35,375
-7% -$1.32M 0.03% 459
2019
Q2
$18.3M Buy
483,639
+112,100
+30% +$4.23M 0.03% 429
2019
Q1
$12.7M Hold
371,539
0.02% 454
2018
Q4
$11.5M Sell
371,539
-34,100
-8% -$1.05M 0.02% 445
2018
Q3
$13.4M Hold
405,639
0.02% 451
2018
Q2
$11.4M Hold
405,639
0.02% 471
2018
Q1
$9.01M Hold
405,639
0.02% 490
2017
Q4
$8.37M Sell
405,639
-133,785
-25% -$2.76M 0.02% 520
2017
Q3
$15.7M Sell
539,424
-1,733,900
-76% -$50.6M 0.03% 448
2017
Q2
$63M Sell
2,273,324
-607,779
-21% -$16.8M 0.11% 255
2017
Q1
$71.7M Sell
2,881,103
-177,732
-6% -$4.42M 0.13% 238
2016
Q4
$62.7M Sell
3,058,835
-253,700
-8% -$5.2M 0.12% 252
2016
Q3
$78.8M Buy
3,312,535
+805,000
+32% +$19.2M 0.14% 209
2016
Q2
$58.6M Buy
2,507,535
+160,100
+7% +$3.74M 0.11% 243
2016
Q1
$44.2M Buy
2,347,435
+465,304
+25% +$8.75M 0.09% 269
2015
Q4
$34.7M Sell
1,882,131
-90,612
-5% -$1.67M 0.08% 286
2015
Q3
$32.4M Buy
1,972,743
+380,603
+24% +$6.25M 0.07% 299
2015
Q2
$28.2M Buy
1,592,140
+304,679
+24% +$5.39M 0.06% 353
2015
Q1
$22.9M Sell
1,287,461
-659,712
-34% -$11.7M 0.05% 393
2014
Q4
$25.8M Sell
1,947,173
-53,569
-3% -$710K 0.05% 371
2014
Q3
$23.6M Sell
2,000,742
-143,341
-7% -$1.69M 0.05% 377
2014
Q2
$27.4M Buy
2,144,083
+646,407
+43% +$8.25M 0.06% 323
2014
Q1
$20.2M Buy
1,497,676
+148,132
+11% +$2M 0.05% 344
2013
Q4
$16.2M Sell
1,349,544
-36,766
-3% -$442K 0.05% 364
2013
Q3
$16.3M Sell
1,386,310
-253,674
-15% -$2.98M 0.05% 358
2013
Q2
$15.2M Buy
+1,639,984
New +$15.2M 0.05% 381