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

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q2
Sell
-7,648,637
Closed -$1.35B 5551
2021
Q1
$1.35B Buy
7,648,637
+239,536
+3% +$42.3M 0.04% 453
2020
Q4
$1.3B Sell
7,409,101
-1,738,285
-19% -$304M 0.04% 433
2020
Q3
$1.57B Sell
9,147,386
-973,055
-10% -$167M 0.06% 310
2020
Q2
$1.24B Sell
10,120,441
-235,526
-2% -$28.9M 0.05% 365
2020
Q1
$1.06B Buy
10,355,967
+1,718,654
+20% +$176M 0.05% 341
2019
Q4
$1.23B Buy
8,637,313
+15,525
+0.2% +$2.2M 0.05% 386
2019
Q3
$1.03B Buy
8,621,788
+305,344
+4% +$36.4M 0.04% 423
2019
Q2
$1.13B Buy
8,316,444
+319,325
+4% +$43.5M 0.05% 389
2019
Q1
$1.13B Buy
7,997,119
+760,049
+11% +$108M 0.05% 370
2018
Q4
$820M Sell
7,237,070
-305,369
-4% -$34.6M 0.04% 443
2018
Q3
$844M Sell
7,542,439
-130,258
-2% -$14.6M 0.04% 484
2018
Q2
$873M Sell
7,672,697
-326,857
-4% -$37.2M 0.04% 458
2018
Q1
$981M Buy
7,999,554
+859
+0% +$105K 0.05% 407
2017
Q4
$889M Sell
7,998,695
-658,370
-8% -$73.2M 0.04% 448
2017
Q3
$866M Buy
8,657,065
+233,439
+3% +$23.4M 0.04% 423
2017
Q2
$869M Buy
8,423,626
+523,858
+7% +$54.1M 0.05% 409
2017
Q1
$720M Buy
7,899,768
+7,624,229
+2,767% +$695M 0.04% 484
2016
Q4
$21.7M Sell
275,539
-130,892
-32% -$10.3M 0.03% 525
2016
Q3
$35.5M Buy
406,431
+2,525
+0.6% +$220K 0.05% 389
2016
Q2
$29.1M Buy
403,906
+109,096
+37% +$7.87M 0.04% 434
2016
Q1
$20.7M Sell
294,810
-44,376
-13% -$3.11M 0.03% 487
2015
Q4
$24M Sell
339,186
-5,852
-2% -$415K 0.04% 479
2015
Q3
$22.3M Buy
345,038
+72,127
+26% +$4.67M 0.04% 465
2015
Q2
$20.2M Sell
272,911
-21,842
-7% -$1.62M 0.03% 502
2015
Q1
$24.3M Buy
294,753
+34,214
+13% +$2.82M 0.03% 489
2014
Q4
$19.8M Sell
260,539
-40,114
-13% -$3.04M 0.03% 530
2014
Q3
$21.1M Sell
300,653
-166,201
-36% -$11.7M 0.03% 489
2014
Q2
$34M Sell
466,854
-57,231
-11% -$4.17M 0.05% 375
2014
Q1
$38.6M Buy
524,085
+157,380
+43% +$11.6M 0.06% 327
2013
Q4
$25M Buy
366,705
+125,884
+52% +$8.58M 0.04% 431
2013
Q3
$15.8M Sell
240,821
-3,064
-1% -$201K 0.03% 510
2013
Q2
$14.4M Buy
+243,885
New +$14.4M 0.03% 514