Barclays’s Varian Medical Systems, Inc. VAR Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2021
Q2
Sell
-2,639,703
Closed -$466M 5212
2021
Q1
$466M Buy
2,639,703
+1,671,139
+173% +$294M 0.45% 57
2020
Q4
$170M Buy
968,564
+381,869
+65% +$66.2M 0.19% 168
2020
Q3
$101M Buy
586,695
+529,279
+922% +$83.2M 0.12% 239
2020
Q2
$7.04M Buy
57,416
+871
+2% +$101K 0.01% 1149
2020
Q1
$5.8M Sell
56,545
-74,877
-57% -$9.89M 0.01% 1351
2019
Q4
$18.7M Sell
131,422
-23,403
-15% -$2.99M 0.02% 989
2019
Q3
$18.4M Buy
154,825
+8,502
+6% +$1.01M 0.02% 925
2019
Q2
$19.9M Buy
146,323
+34,601
+31% +$4.62M 0.02% 934
2019
Q1
$15.8M Buy
111,722
+454
+0.4% +$59.6K 0.02% 971
2018
Q4
$12.6M Sell
111,268
-60,313
-35% -$6.9M 0.02% 1017
2018
Q3
$19.2M Buy
171,581
+44,133
+35% +$4.99M 0.03% 878
2018
Q2
$14.5M Sell
127,448
-67,757
-35% -$8.11M 0.03% 983
2018
Q1
$23.9M Buy
195,205
+39,232
+25% +$4.68M 0.03% 762
2017
Q4
$17.3M Sell
155,973
-12,976
-8% -$1.39M 0.03% 880
2017
Q3
$16.9M Buy
168,949
+67,593
+67% +$6.94M 0.04% 738
2017
Q2
$10.5M Buy
101,356
+16,263
+19% +$1.57M 0.02% 941
2017
Q1
$7.75M Sell
85,093
-5,036
-6% -$420K 0.02% 1042
2016
Q4
$7.09M Sell
90,129
-550
-0.6% -$44.5K 0.02% 1152
2016
Q3
$7.91M Sell
90,679
-21,496
-19% -$1.75M 0.03% 1006
2016
Q2
$8.09M Sell
112,175
-12,298
-10% -$892K 0.03% 963
2016
Q1
$8.73M Buy
124,473
+7,516
+6% +$511K 0.03% 831
2015
Q4
$8.21M Buy
116,957
+56,064
+92% +$3.87M 0.02% 997
2015
Q3
$3.9M Sell
60,893
-8,897
-13% -$649K 0.01% 1541
2015
Q2
$5.14M Sell
69,790
-18,988
-21% -$1.49M 0.01% 1467
2015
Q1
$7.32M Sell
88,778
-25,358
-22% -$2.03M 0.02% 1286
2014
Q4
$8.61M Buy
114,136
+3,362
+3% +$250K 0.02% 1296
2014
Q3
$7.77M Buy
110,774
+16,445
+17% +$1.21M 0.01% 1383
2014
Q2
$6.86M Sell
94,329
-14,630
-13% -$1.05M 0.01% 1457
2014
Q1
$7.93M Sell
108,959
-14,461
-12% -$1.04M 0.02% 1330
2013
Q4
$8.34M Buy
123,420
+9,376
+8% +$625K 0.02% 1394
2013
Q3
$7.4M Buy
114,044
+7,792
+7% +$493K 0.02% 1383
2013
Q2
$6.28M Buy
+106,252
New +$6.36M 0.02% 1434

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