British Columbia Investment Management’s Open Text OTEX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$4.1M Sell
140,178
-6,606
-5% -$193K 0.02% 406
2025
Q1
$3.71M Buy
146,784
+29,648
+25% +$748K 0.02% 468
2024
Q4
$3.31M Buy
117,136
+30,876
+36% +$873K 0.02% 511
2024
Q3
$2.87M Buy
86,260
+48,111
+126% +$1.6M 0.02% 524
2024
Q2
$1.15M Buy
38,149
+24,810
+186% +$745K 0.01% 689
2024
Q1
$518K Buy
+13,339
New +$518K ﹤0.01% 774
2023
Q4
Sell
-207,355
Closed -$7.28M 801
2023
Q3
$7.28M Buy
207,355
+8,865
+4% +$311K 0.07% 204
2023
Q2
$8.25M Sell
198,490
-19,642
-9% -$817K 0.08% 192
2023
Q1
$8.41M Sell
218,132
-35,915
-14% -$1.39M 0.09% 198
2022
Q4
$7.53M Sell
254,047
-278,295
-52% -$8.25M 0.08% 206
2022
Q3
$14.1M Sell
532,342
-635,796
-54% -$16.8M 0.16% 114
2022
Q2
$44.1M Sell
1,168,138
-582,763
-33% -$22M 0.42% 50
2022
Q1
$74.2M Buy
1,750,901
+380,301
+28% +$16.1M 0.47% 45
2021
Q4
$65.1M Buy
1,370,600
+563,662
+70% +$26.8M 0.37% 56
2021
Q3
$39.3M Sell
806,938
-341,377
-30% -$16.6M 0.23% 78
2021
Q2
$58.3M Sell
1,148,315
-202,669
-15% -$10.3M 0.36% 60
2021
Q1
$64.4M Sell
1,350,984
-293,523
-18% -$14M 0.46% 47
2020
Q4
$74.7M Buy
1,644,507
+694,622
+73% +$31.6M 0.52% 44
2020
Q3
$40.1M Buy
949,885
+420,831
+80% +$17.8M 0.33% 67
2020
Q2
$22.5M Sell
529,054
-180,440
-25% -$7.66M 0.22% 97
2020
Q1
$24.8M Sell
709,494
-434,872
-38% -$15.2M 0.42% 57
2019
Q4
$50.4M Buy
1,144,366
+52,260
+5% +$2.3M 0.38% 70
2019
Q3
$44.6M Buy
1,092,106
+151,479
+16% +$6.18M 0.43% 56
2019
Q2
$38.9M Sell
940,627
-70,562
-7% -$2.92M 0.34% 72
2019
Q1
$38.8M Buy
1,011,189
+13,918
+1% +$535K 0.35% 74
2018
Q4
$32.5M Buy
997,271
+973,880
+4,163% +$31.7M 0.29% 84
2018
Q3
$688K Sell
23,391
-8,609
-27% -$253K 0.01% 681
2018
Q2
$856K Sell
32,000
-11,000
-26% -$294K 0.01% 681
2018
Q1
$1.16M Buy
43,000
+1,800
+4% +$48.6K 0.01% 678
2017
Q4
$1.17M Hold
41,200
0.01% 674
2017
Q3
$1.06M Hold
41,200
0.01% 670
2017
Q2
$1M Buy
41,200
+1,200
+3% +$29.2K 0.01% 672
2017
Q1
$1.02M Buy
40,000
+2,800
+8% +$71.4K 0.01% 660
2016
Q4
$857K Hold
37,200
0.01% 670
2016
Q3
$918K Buy
37,200
+1,000
+3% +$24.7K 0.01% 651
2016
Q2
$825K Hold
36,200
0.01% 663
2016
Q1
$725K Hold
36,200
0.01% 669
2015
Q4
$625K Hold
36,200
0.01% 672
2015
Q3
$604K Hold
36,200
0.01% 668
2015
Q2
$588K Hold
36,200
0.01% 700
2015
Q1
$756K Buy
36,200
+21,000
+138% +$439K 0.01% 665
2014
Q4
$382K Hold
15,200
﹤0.01% 722
2014
Q3
$377K Hold
15,200
﹤0.01% 705
2014
Q2
$342K Hold
15,200
﹤0.01% 730
2014
Q1
$329K Buy
15,200
+5,200
+52% +$113K ﹤0.01% 730
2013
Q4
$216K Buy
+10,000
New +$216K ﹤0.01% 771