British Columbia Investment Management’s McDonald's MCD Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$32.9M Sell
112,655
-24,396
-18% -$7.13M 0.19% 104
2025
Q1
$42.8M Sell
137,051
-312
-0.2% -$97.5K 0.26% 86
2024
Q4
$39.8M Buy
137,363
+17,111
+14% +$4.96M 0.24% 86
2024
Q3
$36.6M Sell
120,252
-17,850
-13% -$5.44M 0.22% 83
2024
Q2
$35.2M Buy
138,102
+51,210
+59% +$13.1M 0.21% 92
2024
Q1
$24.5M Buy
86,892
+2,999
+4% +$846K 0.17% 107
2023
Q4
$24.9M Buy
83,893
+17,456
+26% +$5.18M 0.2% 102
2023
Q3
$17.5M Buy
66,437
+474
+0.7% +$125K 0.17% 106
2023
Q2
$19.7M Buy
65,963
+469
+0.7% +$140K 0.18% 100
2023
Q1
$18.3M Buy
65,494
+205
+0.3% +$57.3K 0.19% 89
2022
Q4
$17.2M Sell
65,289
-8,001
-11% -$2.11M 0.19% 96
2022
Q3
$16.9M Sell
73,290
-13,098
-15% -$3.02M 0.19% 92
2022
Q2
$21.3M Sell
86,388
-29,109
-25% -$7.19M 0.2% 90
2022
Q1
$28.6M Sell
115,497
-15,837
-12% -$3.92M 0.18% 98
2021
Q4
$35.2M Sell
131,334
-6,652
-5% -$1.78M 0.2% 93
2021
Q3
$33.3M Buy
137,986
+66
+0% +$15.9K 0.2% 94
2021
Q2
$31.9M Buy
137,920
+15,572
+13% +$3.6M 0.2% 94
2021
Q1
$27.4M Sell
122,348
-3,549
-3% -$795K 0.2% 92
2020
Q4
$27M Sell
125,897
-3,257
-3% -$699K 0.19% 103
2020
Q3
$28.3M Buy
129,154
+9,604
+8% +$2.11M 0.23% 92
2020
Q2
$22.1M Buy
119,550
+37,201
+45% +$6.86M 0.22% 99
2020
Q1
$13.6M Sell
82,349
-246,860
-75% -$40.8M 0.23% 86
2019
Q4
$65.1M Buy
329,209
+122,822
+60% +$24.3M 0.48% 51
2019
Q3
$44.3M Sell
206,387
-49,663
-19% -$10.7M 0.43% 57
2019
Q2
$53.2M Buy
256,050
+9,440
+4% +$1.96M 0.47% 50
2019
Q1
$46.8M Sell
246,610
-74,305
-23% -$14.1M 0.42% 61
2018
Q4
$57M Buy
320,915
+37,588
+13% +$6.67M 0.51% 42
2018
Q3
$47.4M Sell
283,327
-94,257
-25% -$15.8M 0.5% 45
2018
Q2
$59.2M Sell
377,584
-71,521
-16% -$11.2M 0.52% 41
2018
Q1
$70.2M Sell
449,105
-69,347
-13% -$10.8M 0.54% 38
2017
Q4
$89.2M Buy
518,452
+48,552
+10% +$8.36M 0.63% 32
2017
Q3
$73.6M Sell
469,900
-13,511
-3% -$2.12M 0.57% 38
2017
Q2
$74M Buy
483,411
+322
+0.1% +$49.3K 0.59% 37
2017
Q1
$62.6M Sell
483,089
-3,748
-0.8% -$486K 0.5% 42
2016
Q4
$59.3M Buy
486,837
+47,447
+11% +$5.78M 0.52% 42
2016
Q3
$50.7M Sell
439,390
-68,347
-13% -$7.88M 0.51% 43
2016
Q2
$61.1M Sell
507,737
-37,419
-7% -$4.5M 0.54% 44
2016
Q1
$68.5M Buy
545,156
+1,742
+0.3% +$219K 0.64% 34
2015
Q4
$64.2M Buy
543,414
+102,353
+23% +$12.1M 0.62% 38
2015
Q3
$43.5M Sell
441,061
-27,992
-6% -$2.76M 0.44% 50
2015
Q2
$44.6M Sell
469,053
-96,775
-17% -$9.2M 0.42% 47
2015
Q1
$55.1M Sell
565,828
-31,170
-5% -$3.04M 0.5% 45
2014
Q4
$55.9M Sell
596,998
-125,272
-17% -$11.7M 0.46% 47
2014
Q3
$68.5M Buy
722,270
+11,218
+2% +$1.06M 0.57% 38
2014
Q2
$71.6M Sell
711,052
-88,877
-11% -$8.95M 0.58% 38
2014
Q1
$78.4M Sell
799,929
-35,711
-4% -$3.5M 0.66% 31
2013
Q4
$81.1M Sell
835,640
-15,383
-2% -$1.49M 0.64% 34
2013
Q3
$81.9M Buy
851,023
+20,340
+2% +$1.96M 0.69% 33
2013
Q2
$82.2M Buy
+830,683
New +$82.2M 0.68% 32