BCIM
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British Columbia Investment Management’s Medtronic MDT Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$17.6M Sell
201,797
-43,443
-18% -$3.79M 0.1% 165
2025
Q1
$22M Sell
245,240
-343
-0.1% -$30.8K 0.14% 150
2024
Q4
$19.6M Buy
245,583
+31,632
+15% +$2.53M 0.12% 162
2024
Q3
$19.3M Sell
213,951
-40,386
-16% -$3.64M 0.12% 143
2024
Q2
$20M Buy
254,337
+95,051
+60% +$7.48M 0.12% 145
2024
Q1
$13.9M Buy
159,286
+6,115
+4% +$533K 0.1% 154
2023
Q4
$12.6M Buy
153,171
+32,193
+27% +$2.65M 0.1% 153
2023
Q3
$9.48M Buy
120,978
+743
+0.6% +$58.2K 0.09% 159
2023
Q2
$10.6M Buy
120,235
+1,533
+1% +$135K 0.1% 152
2023
Q1
$9.57M Buy
118,702
+709
+0.6% +$57.2K 0.1% 174
2022
Q4
$9.17M Sell
117,993
-13,671
-10% -$1.06M 0.1% 181
2022
Q3
$10.6M Sell
131,664
-24,313
-16% -$1.96M 0.12% 151
2022
Q2
$14M Sell
155,977
-51,893
-25% -$4.66M 0.13% 131
2022
Q1
$23.1M Sell
207,870
-28,764
-12% -$3.19M 0.15% 113
2021
Q4
$24.5M Sell
236,634
-12,657
-5% -$1.31M 0.14% 125
2021
Q3
$31.2M Sell
249,291
-207
-0.1% -$25.9K 0.18% 98
2021
Q2
$31M Buy
249,498
+28,556
+13% +$3.54M 0.19% 97
2021
Q1
$26.1M Sell
220,942
-6,301
-3% -$744K 0.19% 95
2020
Q4
$26.6M Sell
227,243
-5,555
-2% -$651K 0.19% 105
2020
Q3
$24.2M Buy
232,798
+17,768
+8% +$1.85M 0.2% 100
2020
Q2
$19.7M Buy
215,030
+68,462
+47% +$6.28M 0.2% 105
2020
Q1
$13.2M Sell
146,568
-170,032
-54% -$15.3M 0.22% 88
2019
Q4
$35.9M Buy
316,600
+4,888
+2% +$555K 0.27% 89
2019
Q3
$33.9M Sell
311,712
-76,892
-20% -$8.35M 0.33% 79
2019
Q2
$37.8M Buy
388,604
+12,823
+3% +$1.25M 0.33% 74
2019
Q1
$34.2M Sell
375,781
-36,342
-9% -$3.31M 0.3% 83
2018
Q4
$37.5M Buy
412,123
+48,619
+13% +$4.42M 0.33% 73
2018
Q3
$35.8M Sell
363,504
-114,730
-24% -$11.3M 0.38% 58
2018
Q2
$40.9M Sell
478,234
-148,309
-24% -$12.7M 0.36% 58
2018
Q1
$50.3M Buy
626,543
+11,752
+2% +$943K 0.38% 55
2017
Q4
$49.6M Sell
614,791
-51,800
-8% -$4.18M 0.35% 60
2017
Q3
$51.8M Buy
666,591
+67,669
+11% +$5.26M 0.4% 52
2017
Q2
$53.2M Sell
598,922
-26,537
-4% -$2.36M 0.42% 45
2017
Q1
$50.4M Sell
625,459
-40,441
-6% -$3.26M 0.4% 50
2016
Q4
$47.4M Buy
665,900
+91,266
+16% +$6.5M 0.42% 52
2016
Q3
$49.6M Sell
574,634
-109,867
-16% -$9.49M 0.5% 44
2016
Q2
$59.4M Sell
684,501
-1,415
-0.2% -$123K 0.52% 45
2016
Q1
$51.4M Buy
685,916
+34,771
+5% +$2.61M 0.48% 46
2015
Q4
$50.1M Sell
651,145
-168,856
-21% -$13M 0.48% 46
2015
Q3
$54.9M Buy
820,001
+73,717
+10% +$4.93M 0.56% 43
2015
Q2
$55.3M Sell
746,284
-252,653
-25% -$18.7M 0.53% 42
2015
Q1
$77.9M Buy
998,937
+231,267
+30% +$18M 0.7% 26
2014
Q4
$55.4M Buy
767,670
+3,726
+0.5% +$269K 0.46% 49
2014
Q3
$47.3M Sell
763,944
-64,787
-8% -$4.01M 0.4% 59
2014
Q2
$52.8M Buy
828,731
+24,563
+3% +$1.57M 0.43% 55
2014
Q1
$49.5M Sell
804,168
-16,179
-2% -$996K 0.42% 58
2013
Q4
$47.1M Sell
820,347
-2,961
-0.4% -$170K 0.37% 65
2013
Q3
$43.8M Buy
823,308
+1,446
+0.2% +$77K 0.37% 67
2013
Q2
$42.3M Buy
+821,862
New +$42.3M 0.35% 69