AQR Capital 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
$197M Buy
1,843,193
+687,364
+59% +$73.5M 0.16% 162
2025
Q1
$114M Buy
1,155,829
+243,893
+27% +$24.1M 0.12% 234
2024
Q4
$81.5M Sell
911,936
-53,014
-5% -$4.74M 0.1% 255
2024
Q3
$80.4M Buy
964,950
+262,732
+37% +$21.9M 0.11% 241
2024
Q2
$53.9M Sell
702,218
-151,474
-18% -$11.6M 0.08% 312
2024
Q1
$58.5M Buy
853,692
+42,585
+5% +$2.92M 0.1% 247
2023
Q4
$46.4M Buy
811,107
+273,955
+51% +$15.7M 0.09% 281
2023
Q3
$28.4M Buy
537,152
+68,478
+15% +$3.62M 0.06% 361
2023
Q2
$25.4M Buy
468,674
+208,267
+80% +$11.3M 0.05% 404
2023
Q1
$13M Buy
260,407
+33,335
+15% +$1.67M 0.03% 597
2022
Q4
$10.4M Buy
227,072
+30,797
+16% +$1.42M 0.02% 645
2022
Q3
$7.6M Buy
196,275
+56,342
+40% +$2.18M 0.02% 715
2022
Q2
$5.2M Buy
139,933
+5,386
+4% +$200K 0.01% 797
2022
Q1
$5.96M Sell
134,547
-191,259
-59% -$8.47M 0.01% 813
2021
Q4
$13.8M Sell
325,806
-49,312
-13% -$2.09M 0.03% 596
2021
Q3
$16.3M Sell
375,118
-101,272
-21% -$4.39M 0.03% 530
2021
Q2
$20.4M Sell
476,390
-307,364
-39% -$13.1M 0.04% 495
2021
Q1
$30.3M Sell
783,754
-764,411
-49% -$29.5M 0.05% 393
2020
Q4
$55.1M Buy
1,548,165
+998,933
+182% +$35.5M 0.1% 234
2020
Q3
$20.8M Sell
549,232
-248,356
-31% -$9.39M 0.04% 451
2020
Q2
$27.4M Buy
797,588
+392,667
+97% +$13.5M 0.04% 409
2020
Q1
$13.2M Buy
404,921
+161,806
+67% +$5.28M 0.02% 555
2019
Q4
$11M Sell
243,115
-82,479
-25% -$3.73M 0.01% 725
2019
Q3
$13.2M Sell
325,594
-1,064,050
-77% -$43.3M 0.02% 677
2019
Q2
$58.4M Sell
1,389,644
-977,065
-41% -$41.1M 0.07% 347
2019
Q1
$90.3M Buy
2,366,709
+629,852
+36% +$24M 0.1% 246
2018
Q4
$61.4M Sell
1,736,857
-708,505
-29% -$25M 0.07% 296
2018
Q3
$94.1M Sell
2,445,362
-217,266
-8% -$8.36M 0.09% 243
2018
Q2
$87.1M Sell
2,662,628
-190,288
-7% -$6.22M 0.09% 263
2018
Q1
$77.9M Buy
2,852,916
+92,265
+3% +$2.52M 0.08% 285
2017
Q4
$68.4M Buy
2,760,651
+1,425,278
+107% +$35.3M 0.07% 311
2017
Q3
$39M Sell
1,335,373
-451,507
-25% -$13.2M 0.05% 436
2017
Q2
$49.5M Sell
1,786,880
-375,428
-17% -$10.4M 0.07% 380
2017
Q1
$53.8M Sell
2,162,308
-395,304
-15% -$9.83M 0.07% 369
2016
Q4
$55.3M Buy
2,557,612
+29,528
+1% +$639K 0.08% 348
2016
Q3
$60.2M Buy
2,528,084
+1,543,264
+157% +$36.7M 0.09% 307
2016
Q2
$23M Sell
984,820
-171,288
-15% -$4M 0.04% 518
2016
Q1
$21.7M Sell
1,156,108
-1,103,435
-49% -$20.8M 0.04% 519
2015
Q4
$41.7M Sell
2,259,543
-2,185,866
-49% -$40.3M 0.07% 348
2015
Q3
$72.9M Buy
4,445,409
+2,069,861
+87% +$34M 0.15% 194
2015
Q2
$42M Buy
2,375,548
+911,244
+62% +$16.1M 0.08% 288
2015
Q1
$26M Sell
1,464,304
-1,520,635
-51% -$27M 0.06% 339
2014
Q4
$39.6M Sell
2,984,939
-1,901,977
-39% -$25.2M 0.08% 293
2014
Q3
$57.7M Sell
4,886,916
-6,794,995
-58% -$80.2M 0.16% 171
2014
Q2
$149M Buy
11,681,911
+80,300
+0.7% +$1.03M 0.4% 44
2014
Q1
$157M Sell
11,601,611
-459,600
-4% -$6.21M 0.47% 35
2013
Q4
$145M Buy
12,061,211
+887,984
+8% +$10.7M 0.43% 41
2013
Q3
$131M Sell
11,173,227
-1,084,073
-9% -$12.7M 0.46% 36
2013
Q2
$114M Buy
+12,257,300
New +$114M 0.4% 45