Aristotle Capital Management’s Medtronic MDT Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$670M Sell
7,684,950
-92,530
-1% -$8.07M 1.29% 40
2025
Q1
$699M Sell
7,777,480
-199,406
-2% -$17.9M 1.39% 39
2024
Q4
$637M Sell
7,976,886
-197,227
-2% -$15.8M 1.23% 42
2024
Q3
$736M Sell
8,174,113
-130,824
-2% -$11.8M 1.34% 40
2024
Q2
$654M Sell
8,304,937
-232,544
-3% -$18.3M 1.26% 41
2024
Q1
$744M Sell
8,537,481
-64,613
-0.8% -$5.63M 1.38% 38
2023
Q4
$709M Sell
8,602,094
-241,189
-3% -$19.9M 1.39% 39
2023
Q3
$693M Sell
8,843,283
-148,551
-2% -$11.6M 1.49% 38
2023
Q2
$792M Sell
8,991,834
-72,002
-0.8% -$6.34M 1.61% 31
2023
Q1
$731M Sell
9,063,836
-91,154
-1% -$7.35M 1.53% 37
2022
Q4
$712M Sell
9,154,990
-480,249
-5% -$37.3M 1.51% 37
2022
Q3
$781M Sell
9,635,239
-57,036
-0.6% -$4.62M 1.73% 33
2022
Q2
$872M Buy
9,692,275
+40,780
+0.4% +$3.67M 1.84% 30
2022
Q1
$1.07B Sell
9,651,495
-109,062
-1% -$12.1M 1.95% 26
2021
Q4
$1.01B Buy
9,760,557
+421,901
+5% +$43.6M 1.71% 27
2021
Q3
$1.17B Buy
9,338,656
+40,434
+0.4% +$5.06M 2.21% 20
2021
Q2
$1.15B Buy
9,298,222
+117,465
+1% +$14.5M 2.2% 20
2021
Q1
$1.08B Buy
9,180,757
+741,767
+9% +$87.3M 2.21% 20
2020
Q4
$984M Buy
8,438,990
+425,960
+5% +$49.7M 2.44% 12
2020
Q3
$833M Buy
8,013,030
+71,121
+0.9% +$7.39M 2.52% 10
2020
Q2
$728M Buy
7,941,909
+501,459
+7% +$46M 2.45% 10
2020
Q1
$671M Buy
7,440,450
+102,272
+1% +$9.22M 2.83% 7
2019
Q4
$833M Buy
7,338,178
+2,572,495
+54% +$292M 2.74% 9
2019
Q3
$518M Sell
4,765,683
-81,196
-2% -$8.82M 2.74% 7
2019
Q2
$472M Sell
4,846,879
-113,183
-2% -$11M 2.64% 9
2019
Q1
$452M Buy
4,960,062
+177,504
+4% +$16.2M 2.68% 9
2018
Q4
$435M Sell
4,782,558
-96,644
-2% -$8.79M 2.94% 7
2018
Q3
$480M Buy
4,879,202
+36,086
+0.7% +$3.55M 2.8% 7
2018
Q2
$415M Buy
4,843,116
+240,629
+5% +$20.6M 2.55% 12
2018
Q1
$369M Buy
4,602,487
+208,785
+5% +$16.7M 2.48% 15
2017
Q4
$355M Buy
4,393,702
+228,388
+5% +$18.4M 2.46% 16
2017
Q3
$324M Sell
4,165,314
-2,154
-0.1% -$168K 2.52% 13
2017
Q2
$370M Buy
4,167,468
+120,023
+3% +$10.7M 3.09% 5
2017
Q1
$326M Buy
4,047,445
+71,895
+2% +$5.79M 2.97% 6
2016
Q4
$283M Buy
3,975,550
+132,457
+3% +$9.43M 2.68% 10
2016
Q3
$332M Sell
3,843,093
-54,198
-1% -$4.68M 3.45% 1
2016
Q2
$338M Buy
3,897,291
+29,503
+0.8% +$2.56M 3.67% 1
2016
Q1
$290M Buy
3,867,788
+172,900
+5% +$13M 3.37% 1
2015
Q4
$284M Buy
3,694,888
+121,505
+3% +$9.35M 3.43% 1
2015
Q3
$239M Buy
3,573,383
+59,187
+2% +$3.96M 2.99% 4
2015
Q2
$260M Buy
3,514,196
+181,121
+5% +$13.4M 3.07% 3
2015
Q1
$260M Buy
+3,333,075
New +$260M 3.23% 3
2014
Q4
Sell
-3,350,099
Closed -$208M 142
2014
Q3
$208M Buy
3,350,099
+313,035
+10% +$19.4M 2.73% 6
2014
Q2
$194M Buy
3,037,064
+718,558
+31% +$45.8M 2.58% 7
2014
Q1
$143M Buy
2,318,506
+102,181
+5% +$6.29M 2.07% 30
2013
Q4
$127M Buy
2,216,325
+280,824
+15% +$16.1M 2.02% 32
2013
Q3
$103M Buy
1,935,501
+420,111
+28% +$22.4M 2.06% 26
2013
Q2
$78M Buy
+1,515,390
New +$78M 2.14% 22