Bridges Investment Management’s Medtronic MDT Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$2.3M Sell
26,358
-74
-0.3% -$6.45K 0.03% 159
2025
Q1
$2.38M Sell
26,432
-2,505
-9% -$225K 0.03% 142
2024
Q4
$2.31M Sell
28,937
-7,387
-20% -$590K 0.03% 142
2024
Q3
$3.27M Sell
36,324
-566
-2% -$51K 0.05% 127
2024
Q2
$2.9M Buy
+36,890
New +$2.9M 0.04% 125
2023
Q1
Sell
-3,483
Closed -$271K 210
2022
Q4
$271K Sell
3,483
-12,781
-79% -$993K 0.01% 197
2022
Q3
$1.31M Buy
16,264
+512
+3% +$41.3K 0.05% 132
2022
Q2
$1.41M Buy
15,752
+923
+6% +$82.9K 0.05% 132
2022
Q1
$1.65M Buy
14,829
+972
+7% +$108K 0.05% 131
2021
Q4
$1.43M Buy
13,857
+595
+4% +$61.5K 0.04% 138
2021
Q3
$1.66M Buy
13,262
+1,961
+17% +$246K 0.05% 131
2021
Q2
$1.4M Buy
11,301
+963
+9% +$120K 0.04% 137
2021
Q1
$1.22M Sell
10,338
-276
-3% -$32.6K 0.04% 137
2020
Q4
$1.24M Buy
10,614
+1,627
+18% +$191K 0.04% 133
2020
Q3
$934K Buy
8,987
+1,063
+13% +$110K 0.03% 140
2020
Q2
$727K Sell
7,924
-4,282
-35% -$393K 0.03% 148
2020
Q1
$1.1M Sell
12,206
-1,832
-13% -$165K 0.05% 134
2019
Q4
$1.59M Sell
14,038
-8,278
-37% -$939K 0.06% 135
2019
Q3
$2.42M Buy
22,316
+290
+1% +$31.5K 0.09% 119
2019
Q2
$2.15M Buy
22,026
+10,187
+86% +$992K 0.08% 121
2019
Q1
$1.08M Sell
11,839
-12,486
-51% -$1.14M 0.04% 181
2018
Q4
$2.21M Buy
24,325
+126
+0.5% +$11.5K 0.1% 116
2018
Q3
$2.38M Buy
24,199
+90
+0.4% +$8.85K 0.12% 120
2018
Q2
$2.06M Sell
24,109
-180
-0.7% -$15.4K 0.09% 131
2018
Q1
$1.95M Buy
24,289
+8,551
+54% +$686K 0.09% 128
2017
Q4
$1.27M Buy
15,738
+12,700
+418% +$1.03M 0.1% 104
2017
Q3
$236K Buy
+3,038
New +$236K 0.02% 138
2016
Q1
Sell
-2,603
Closed -$200K 129
2015
Q4
$200K Sell
2,603
-4,000
-61% -$307K 0.04% 129
2015
Q3
$490K Hold
6,603
0.09% 101
2015
Q2
$490K Sell
6,603
-4,148
-39% -$308K 0.09% 101
2015
Q1
$839K Buy
10,751
+5,571
+108% +$435K 0.15% 86
2014
Q4
$374K Hold
5,180
0.07% 112
2014
Q3
$321K Buy
5,180
+300
+6% +$18.6K 0.06% 114
2014
Q2
$311K Hold
4,880
0.06% 111
2014
Q1
$300K Buy
4,880
+1,000
+26% +$61.5K 0.06% 113
2013
Q4
$222K Sell
3,880
-60
-2% -$3.43K 0.05% 121
2013
Q3
$209K Buy
+3,940
New +$209K 0.05% 122