British Columbia Investment Management’s Broadcom AVGO Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$297M Sell
1,078,722
-147,865
-12% -$40.8M 1.73% 9
2025
Q1
$205M Buy
1,226,587
+15,440
+1% +$2.59M 1.26% 12
2024
Q4
$281M Buy
1,211,147
+98,646
+9% +$22.9M 1.67% 10
2024
Q3
$192M Sell
1,112,501
-105,379
-9% -$18.2M 1.15% 19
2024
Q2
$196M Buy
1,217,880
+286,920
+31% +$46.1M 1.18% 13
2024
Q1
$123M Buy
930,960
+99,470
+12% +$13.2M 0.85% 20
2023
Q4
$92.8M Buy
831,490
+135,330
+19% +$15.1M 0.76% 33
2023
Q3
$57.8M Sell
696,160
-1,610
-0.2% -$134K 0.55% 45
2023
Q2
$60.5M Buy
697,770
+160,250
+30% +$13.9M 0.56% 43
2023
Q1
$34.5M Buy
537,520
+14,520
+3% +$932K 0.36% 58
2022
Q4
$29.2M Sell
523,000
-41,800
-7% -$2.34M 0.32% 63
2022
Q3
$25.1M Sell
564,800
-75,730
-12% -$3.36M 0.28% 70
2022
Q2
$31.1M Sell
640,530
-230,560
-26% -$11.2M 0.3% 69
2022
Q1
$54.9M Sell
871,090
-85,000
-9% -$5.35M 0.35% 55
2021
Q4
$63.6M Sell
956,090
-33,600
-3% -$2.24M 0.36% 57
2021
Q3
$48M Sell
989,690
-110
-0% -$5.33K 0.28% 66
2021
Q2
$47.2M Buy
989,800
+90,960
+10% +$4.34M 0.29% 69
2021
Q1
$41.7M Sell
898,840
-16,310
-2% -$756K 0.3% 66
2020
Q4
$40.1M Sell
915,150
-13,910
-1% -$609K 0.28% 76
2020
Q3
$33.8M Buy
929,060
+53,790
+6% +$1.96M 0.28% 82
2020
Q2
$27.6M Buy
875,270
+440,960
+102% +$13.9M 0.27% 80
2020
Q1
$10.3M Sell
434,310
-505,030
-54% -$12M 0.17% 109
2019
Q4
$29.7M Buy
939,340
+267,720
+40% +$8.46M 0.22% 106
2019
Q3
$18.5M Sell
671,620
-494,750
-42% -$13.7M 0.18% 122
2019
Q2
$33.6M Buy
1,166,370
+132,510
+13% +$3.81M 0.29% 79
2019
Q1
$31.1M Sell
1,033,860
-380,880
-27% -$11.5M 0.28% 93
2018
Q4
$36M Buy
1,414,740
+101,690
+8% +$2.59M 0.32% 75
2018
Q3
$32.4M Sell
1,313,050
-311,520
-19% -$7.69M 0.34% 69
2018
Q2
$39.4M Sell
1,624,570
-203,550
-11% -$4.94M 0.35% 62
2018
Q1
$43.1M Sell
1,828,120
-379,810
-17% -$8.95M 0.33% 64
2017
Q4
$56.7M Buy
2,207,930
+136,890
+7% +$3.52M 0.4% 53
2017
Q3
$50.2M Buy
2,071,040
+2,360
+0.1% +$57.2K 0.39% 53
2017
Q2
$48.2M Sell
2,068,680
-67,700
-3% -$1.58M 0.38% 52
2017
Q1
$46.8M Buy
2,136,380
+108,210
+5% +$2.37M 0.37% 52
2016
Q4
$35.9M Buy
2,028,170
+275,520
+16% +$4.87M 0.31% 75
2016
Q3
$30.2M Sell
1,752,650
-265,210
-13% -$4.58M 0.3% 72
2016
Q2
$31.4M Buy
2,017,860
+22,000
+1% +$342K 0.28% 82
2016
Q1
$30.8M Buy
1,995,860
+634,290
+47% +$9.8M 0.29% 80
2015
Q4
$19.8M Sell
1,361,570
-446,460
-25% -$6.48M 0.19% 124
2015
Q3
$22.6M Sell
1,808,030
-67,040
-4% -$838K 0.23% 108
2015
Q2
$24.9M Sell
1,875,070
-49,190
-3% -$654K 0.24% 106
2015
Q1
$24.4M Buy
1,924,260
+1,124,760
+141% +$14.3M 0.22% 116
2014
Q4
$8.04M Buy
799,500
+40,000
+5% +$402K 0.07% 346
2014
Q3
$6.61M Sell
759,500
-490,270
-39% -$4.27M 0.06% 358
2014
Q2
$9.01M Buy
1,249,770
+879,300
+237% +$6.34M 0.07% 310
2014
Q1
$2.39M Buy
370,470
+223,970
+153% +$1.44M 0.02% 515
2013
Q4
$775K Sell
146,500
-45,610
-24% -$241K 0.01% 638
2013
Q3
$828K Hold
192,110
0.01% 626
2013
Q2
$718K Buy
+192,110
New +$718K 0.01% 629