BCIM
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British Columbia Investment Management’s Microsoft MSFT Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$856M Sell
1,721,867
-257,267
-13% -$128M 4.98% 2
2025
Q1
$743M Sell
1,979,134
-14,520
-0.7% -$5.45M 4.58% 1
2024
Q4
$840M Buy
1,993,654
+162,440
+9% +$68.5M 5.01% 2
2024
Q3
$788M Sell
1,831,214
-143,986
-7% -$62M 4.73% 2
2024
Q2
$883M Buy
1,975,200
+31,401
+2% +$14M 5.33% 1
2024
Q1
$818M Sell
1,943,799
-39
-0% -$16.4K 5.65% 1
2023
Q4
$731M Buy
1,943,838
+128,317
+7% +$48.3M 5.97% 1
2023
Q3
$573M Sell
1,815,521
-59,152
-3% -$18.7M 5.45% 1
2023
Q2
$638M Sell
1,874,673
-54,547
-3% -$18.6M 5.94% 1
2023
Q1
$556M Buy
1,929,220
+9,403
+0.5% +$2.71M 5.8% 1
2022
Q4
$460M Sell
1,919,817
-79,966
-4% -$19.2M 5.04% 1
2022
Q3
$466M Sell
1,999,783
-10,135
-0.5% -$2.36M 5.25% 1
2022
Q2
$516M Sell
2,009,918
-161,232
-7% -$41.4M 4.9% 1
2022
Q1
$669M Sell
2,171,150
-32,370
-1% -$9.98M 4.28% 2
2021
Q4
$741M Sell
2,203,520
-51,143
-2% -$17.2M 4.17% 1
2021
Q3
$636M Buy
2,254,663
+540,158
+32% +$152M 3.74% 1
2021
Q2
$464M Buy
1,714,505
+444,580
+35% +$120M 2.86% 3
2021
Q1
$299M Sell
1,269,925
-37,791
-3% -$8.91M 2.16% 6
2020
Q4
$291M Sell
1,307,716
-34,841
-3% -$7.75M 2.04% 5
2020
Q3
$282M Buy
1,342,557
+92,416
+7% +$19.4M 2.32% 5
2020
Q2
$254M Buy
1,250,141
+444,487
+55% +$90.5M 2.53% 4
2020
Q1
$127M Sell
805,654
-1,556,021
-66% -$245M 2.15% 4
2019
Q4
$372M Buy
2,361,675
+238,934
+11% +$37.7M 2.77% 1
2019
Q3
$295M Sell
2,122,741
-457,047
-18% -$63.5M 2.86% 2
2019
Q2
$346M Buy
2,579,788
+91,717
+4% +$12.3M 3.02% 1
2019
Q1
$293M Sell
2,488,071
-471,970
-16% -$55.7M 2.61% 1
2018
Q4
$301M Buy
2,960,041
+225,535
+8% +$22.9M 2.68% 1
2018
Q3
$313M Sell
2,734,506
-825,241
-23% -$94.4M 3.31% 2
2018
Q2
$351M Sell
3,559,747
-806,831
-18% -$79.6M 3.1% 1
2018
Q1
$399M Sell
4,366,578
-292,430
-6% -$26.7M 3.04% 1
2017
Q4
$399M Buy
4,659,008
+50,272
+1% +$4.3M 2.81% 2
2017
Q3
$343M Buy
4,608,736
+102,764
+2% +$7.65M 2.65% 2
2017
Q2
$311M Sell
4,505,972
-135,920
-3% -$9.37M 2.48% 2
2017
Q1
$306M Buy
4,641,892
+225,448
+5% +$14.8M 2.43% 2
2016
Q4
$274M Buy
4,416,444
+507,467
+13% +$31.5M 2.41% 2
2016
Q3
$225M Sell
3,908,977
-513,486
-12% -$29.6M 2.27% 2
2016
Q2
$226M Buy
4,422,463
+1,125,624
+34% +$57.6M 1.99% 4
2016
Q1
$182M Buy
3,296,839
+6,209
+0.2% +$343K 1.71% 2
2015
Q4
$183M Sell
3,290,630
-35,876
-1% -$1.99M 1.75% 2
2015
Q3
$147M Buy
3,326,506
+19,721
+0.6% +$873K 1.51% 4
2015
Q2
$146M Sell
3,306,785
-518,338
-14% -$22.9M 1.39% 5
2015
Q1
$156M Sell
3,825,123
-178,302
-4% -$7.25M 1.4% 5
2014
Q4
$186M Buy
4,003,425
+109,392
+3% +$5.08M 1.53% 4
2014
Q3
$181M Sell
3,894,033
-222,964
-5% -$10.3M 1.51% 4
2014
Q2
$172M Buy
4,116,997
+150,512
+4% +$6.28M 1.39% 5
2014
Q1
$163M Sell
3,966,485
-478,804
-11% -$19.6M 1.37% 6
2013
Q4
$166M Sell
4,445,289
-117,814
-3% -$4.41M 1.31% 7
2013
Q3
$152M Sell
4,563,103
-1,802,563
-28% -$60M 1.28% 7
2013
Q2
$220M Buy
+6,365,666
New +$220M 1.81% 3