Berkshire Asset Management’s Becton Dickinson BDX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
Sell
-1,557
Closed -$261K 286
2025
Q1
$261K Buy
1,557
+182
+13% +$30.6K 0.01% 247
2024
Q4
$335K Sell
1,375
-454
-25% -$111K 0.02% 231
2024
Q3
$427K Hold
1,829
0.02% 199
2024
Q2
$427K Sell
1,829
-85
-4% -$19.9K 0.02% 200
2024
Q1
$474K Sell
1,914
-64
-3% -$15.9K 0.03% 166
2023
Q4
$482K Sell
1,978
-23
-1% -$5.61K 0.03% 159
2023
Q3
$517K Sell
2,001
-30
-1% -$7.76K 0.03% 143
2023
Q2
$536K Buy
2,031
+6
+0.3% +$1.58K 0.03% 142
2023
Q1
$501K Buy
+2,025
New +$501K 0.03% 140
2022
Q4
Sell
-2,339
Closed -$521K 148
2022
Q3
$521K Buy
2,339
+13
+0.6% +$2.9K 0.04% 131
2022
Q2
$573K Sell
2,326
-38
-2% -$9.36K 0.04% 131
2022
Q1
$613K Sell
2,364
-409
-15% -$106K 0.04% 123
2021
Q4
$680K Sell
2,773
-180
-6% -$44.1K 0.04% 142
2021
Q3
$708K Buy
2,953
+441
+18% +$106K 0.05% 137
2021
Q2
$596K Sell
2,512
-322
-11% -$76.4K 0.04% 145
2021
Q1
$672K Sell
2,834
-604
-18% -$143K 0.05% 137
2020
Q4
$839K Buy
3,438
+744
+28% +$182K 0.06% 123
2020
Q3
$611K Buy
2,694
+45
+2% +$10.2K 0.06% 108
2020
Q2
$618K Sell
2,649
-664
-20% -$155K 0.06% 105
2020
Q1
$743K Buy
3,313
+321
+11% +$72K 0.08% 112
2019
Q4
$794K Sell
2,992
-847
-22% -$225K 0.07% 107
2019
Q3
$947K Buy
3,839
+306
+9% +$75.5K 0.08% 109
2019
Q2
$869K Buy
3,533
+12
+0.3% +$2.95K 0.07% 114
2019
Q1
$858K Sell
3,521
-431
-11% -$105K 0.07% 119
2018
Q4
$869K Hold
3,952
0.08% 116
2018
Q3
$1.01M Buy
3,952
+419
+12% +$107K 0.09% 109
2018
Q2
$826K Buy
3,533
+204
+6% +$47.7K 0.08% 113
2018
Q1
$704K Sell
3,329
-683
-17% -$144K 0.07% 118
2017
Q4
$838K Buy
4,012
+1,281
+47% +$268K 0.08% 108
2017
Q3
$522K Buy
2,731
+475
+21% +$90.8K 0.06% 126
2017
Q2
$429K Sell
2,256
-10
-0.4% -$1.9K 0.05% 135
2017
Q1
$406K Sell
2,266
-52
-2% -$9.32K 0.05% 139
2016
Q4
$374K Buy
2,318
+327
+16% +$52.8K 0.05% 136
2016
Q3
$349K Sell
1,991
-379
-16% -$66.4K 0.05% 139
2016
Q2
$392K Buy
+2,370
New +$392K 0.06% 129
2013
Q3
Sell
-6,468
Closed -$624K 140
2013
Q2
$624K Buy
+6,468
New +$624K 0.17% 83