Bank of Montreal’s Cognizant CTSH Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$58.4M Buy
951,559
+265,866
+39% +$19M 0.02% 504
2025
Q4
$56.9M Buy
685,693
+81,014
+13% +$6.06M 0.02% 517
2025
Q3
$40.6M Buy
604,679
+60,010
+11% +$4.34M 0.02% 565
2025
Q2
$42.5M Sell
544,669
-566,154
-51% -$43.4M 0.02% 480
2025
Q1
$85M Buy
1,110,823
+340,989
+44% +$27.8M 0.04% 294
2024
Q4
$59.2M Sell
769,834
-1,979,148
-72% -$155M 0.03% 410
2024
Q3
$211M Buy
2,748,982
+628,970
+30% +$46.9M 0.1% 171
2024
Q2
$146M Buy
2,120,012
+1,281,236
+153% +$86.9M 0.04% 230
2024
Q1
$61.5M Sell
838,776
-203,203
-20% -$15.5M 0.02% 393
2023
Q4
$79.1M Buy
1,041,979
+191,124
+22% +$13.2M 0.03% 352
2023
Q3
$60.2M Sell
850,855
-174,121
-17% -$12M 0.02% 363
2023
Q2
$67.1M Sell
1,024,976
-539,079
-34% -$33.4M 0.02% 326
2023
Q1
$95.4M Buy
1,564,055
+562,100
+56% +$35.2M 0.04% 248
2022
Q4
$57.3M Buy
1,001,955
+161,465
+19% +$9.47M 0.03% 349
2022
Q3
$49.3K Sell
840,490
-116,254
-12% -$7.61M 0.02% 374
2022
Q2
$67.4K Buy
956,744
+261,946
+38% +$20M 0.04% 318
2022
Q1
$63.5M Sell
694,798
-279,088
-29% -$24.5M 0.04% 389
2021
Q4
$87.4M Sell
973,886
-411,817
-30% -$33.1M 0.05% 300
2021
Q3
$105M Sell
1,385,703
-320,371
-19% -$23.6M 0.05% 321
2021
Q2
$120M Buy
1,706,074
+509,290
+43% +$37.9M 0.06% 269
2021
Q1
$95.8M Buy
1,196,784
+5,444
+0.5% +$421K 0.07% 261
2020
Q4
$95.5M Buy
1,191,340
+205,373
+21% +$15.6M 0.07% 256
2020
Q3
$68.8M Buy
985,967
+95,830
+11% +$6.24M 0.06% 274
2020
Q2
$49.2M Buy
890,137
+375,131
+73% +$20.2M 0.05% 325
2020
Q1
$22.8M Sell
515,006
-126,116
-20% -$7.51M 0.03% 457
2019
Q4
$39.8M Buy
641,122
+154,806
+32% +$9.57M 0.03% 468
2019
Q3
$29.3M Buy
486,316
+57,509
+13% +$3.64M 0.03% 506
2019
Q2
$27.2M Sell
428,807
-233,007
-35% -$15.3M 0.02% 531
2019
Q1
$47.9M Sell
661,814
-88,391
-12% -$6.19M 0.04% 355
2018
Q4
$47.6M Buy
750,205
+103,456
+16% +$7.2M 0.05% 333
2018
Q3
$49.9M Sell
646,749
-468,143
-42% -$36.6M 0.04% 372
2018
Q2
$88.1M Buy
1,114,892
+438,083
+65% +$34.4M 0.08% 247
2018
Q1
$54.5M Buy
676,809
+248,067
+58% +$19.6M 0.05% 334
2017
Q4
$30.4M Buy
428,742
+149,094
+53% +$10.9M 0.03% 483
2017
Q3
$20.3M Buy
279,648
+12,439
+5% +$874K 0.02% 592
2017
Q2
$17.7M Sell
267,209
-561,900
-68% -$35.7M 0.02% 622
2017
Q1
$49.3M Sell
829,109
-560,586
-40% -$32.2M 0.05% 317
2016
Q4
$76.5M Buy
1,389,695
+831,879
+149% +$44.5M 0.09% 204
2016
Q3
$26.6M Sell
557,816
-223,072
-29% -$12.7M 0.03% 463
2016
Q2
$44.7M Buy
780,888
+44,800
+6% +$2.71M 0.05% 312
2016
Q1
$46.2M Sell
736,088
-228,080
-24% -$13.3M 0.06% 262
2015
Q4
$57.9M Sell
964,168
-220,884
-19% -$14.2M 0.08% 226
2015
Q3
$74.2M Sell
1,185,052
-24,940
-2% -$1.57M 0.11% 180
2015
Q2
$73.9M Buy
1,209,992
+333,771
+38% +$21M 0.09% 212
2015
Q1
$54.7M Sell
876,221
-268,797
-23% -$15.9M 0.06% 258
2014
Q4
$60.3M Buy
1,145,018
+465,406
+68% +$23.2M 0.07% 237
2014
Q3
$30.4M Sell
679,612
-461,490
-40% -$21.7M 0.04% 384
2014
Q2
$55.8M Buy
1,141,102
+249,805
+28% +$12.2M 0.07% 244
2014
Q1
$45.1M Buy
891,297
+5,551
+0.6% +$277K 0.06% 248
2013
Q4
$44.7M Sell
885,746
-416
-0% -$18.9K 0.06% 234
2013
Q3
$36.4M Buy
886,162
+420,664
+90% +$15.6M 0.06% 245
2013
Q2
$14.6M Buy
+465,498
New +$15.5M 0.03% 381

Other funds holding CTSH