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Bell Bank’s Medtronic MDT Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$257K Buy
+2,943
New +$257K 0.01% 182
2022
Q4
Sell
-3,254
Closed -$263K 188
2022
Q3
$263K Sell
3,254
-1,220
-27% -$98.6K 0.03% 155
2022
Q2
$402K Buy
+4,474
New +$402K 0.05% 152
2021
Q4
Sell
-2,733
Closed -$343K 179
2021
Q3
$343K Hold
2,733
0.04% 136
2021
Q2
$339K Sell
2,733
-250
-8% -$31K 0.04% 139
2021
Q1
$352K Sell
2,983
-1,865
-38% -$220K 0.05% 132
2020
Q4
$568K Buy
4,848
+854
+21% +$100K 0.09% 113
2020
Q3
$415K Buy
3,994
+782
+24% +$81.3K 0.07% 112
2020
Q2
$295K Sell
3,212
-18
-0.6% -$1.65K 0.05% 126
2020
Q1
$291K Sell
3,230
-68
-2% -$6.13K 0.06% 123
2019
Q4
$374K Sell
3,298
-395
-11% -$44.8K 0.07% 123
2019
Q3
$401K Buy
3,693
+336
+10% +$36.5K 0.08% 114
2019
Q2
$327K Buy
3,357
+146
+5% +$14.2K 0.07% 121
2019
Q1
$292K Sell
3,211
-75
-2% -$6.82K 0.08% 125
2018
Q4
$299K Sell
3,286
-68
-2% -$6.19K 0.09% 117
2018
Q3
$330K Sell
3,354
-10
-0.3% -$984 0.1% 122
2018
Q2
$288K Sell
3,364
-367
-10% -$31.4K 0.09% 126
2018
Q1
$299K Sell
3,731
-280
-7% -$22.4K 0.1% 122
2017
Q4
$324K Sell
4,011
-1
-0% -$81 0.09% 110
2017
Q3
$312K Sell
4,012
-302
-7% -$23.5K 0.09% 103
2017
Q2
$383K Sell
4,314
-38
-0.9% -$3.37K 0.14% 91
2017
Q1
$351K Sell
4,352
-329
-7% -$26.5K 0.13% 92
2016
Q4
$333K Sell
4,681
-42
-0.9% -$2.99K 0.13% 89
2016
Q3
$408K Sell
4,723
-1,000
-17% -$86.4K 0.26% 69
2016
Q2
$497K Sell
5,723
-114
-2% -$9.9K 0.29% 64
2016
Q1
$438K Sell
5,837
-355
-6% -$26.6K 0.29% 62
2015
Q4
$476K Sell
6,192
-78
-1% -$6K 0.34% 65
2015
Q3
$420K Sell
6,270
-178
-3% -$11.9K 0.33% 105
2015
Q2
$478K Sell
6,448
-455
-7% -$33.7K 0.35% 103
2015
Q1
$538K Sell
6,903
-25
-0.4% -$1.95K 0.38% 103
2014
Q4
$500K Sell
6,928
-208
-3% -$15K 0.34% 107
2014
Q3
$442K Sell
7,136
-388
-5% -$24K 0.32% 123
2014
Q2
$480K Sell
7,524
-158
-2% -$10.1K 0.34% 120
2014
Q1
$473K Sell
7,682
-512
-6% -$31.5K 0.32% 135
2013
Q4
$470K Sell
8,194
-3,110
-28% -$178K 0.24% 153
2013
Q3
$602K Sell
11,304
-135
-1% -$7.19K 0.21% 168
2013
Q2
$589K Buy
+11,439
New +$589K 0.21% 169