British Columbia Investment Management’s Yum China YUMC Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$13.5M Buy
301,450
+153,000
+103% +$6.85M 0.08% 193
2025
Q1
$7.73M Sell
148,450
-500
-0.3% -$26K 0.05% 305
2024
Q4
$7.17M Sell
148,950
-3,400
-2% -$164K 0.04% 332
2024
Q3
$6.86M Sell
152,350
-3,400
-2% -$153K 0.04% 309
2024
Q2
$4.8M Sell
155,750
-5,900
-4% -$182K 0.03% 389
2024
Q1
$6.43M Sell
161,650
-2,500
-2% -$99.5K 0.04% 277
2023
Q4
$6.96M Sell
164,150
-1,700
-1% -$72.1K 0.06% 233
2023
Q3
$9.24M Sell
165,850
-1,600
-1% -$89.2K 0.09% 166
2023
Q2
$9.46M Sell
167,450
-103,400
-38% -$5.84M 0.09% 171
2023
Q1
$17.1M Hold
270,850
0.18% 92
2022
Q4
$15M Buy
270,850
+27,450
+11% +$1.52M 0.16% 109
2022
Q3
$11.6M Buy
243,400
+69,850
+40% +$3.32M 0.13% 139
2022
Q2
$8.42M Sell
173,550
-82,210
-32% -$3.99M 0.08% 216
2022
Q1
$10.7M Buy
255,760
+81,610
+47% +$3.4M 0.07% 237
2021
Q4
$8.68M Sell
174,150
-1,450
-0.8% -$72.3K 0.05% 310
2021
Q3
$10.2M Hold
175,600
0.06% 271
2021
Q2
$11.6M Buy
175,600
+6,100
+4% +$404K 0.07% 259
2021
Q1
$10M Sell
169,500
-1,600
-0.9% -$94.7K 0.07% 241
2020
Q4
$9.77M Sell
171,100
-5,200
-3% -$297K 0.07% 252
2020
Q3
$9.34M Buy
176,300
+18,500
+12% +$980K 0.08% 232
2020
Q2
$7.59M Sell
157,800
-4,300
-3% -$207K 0.08% 241
2020
Q1
$6.91M Sell
162,100
-1,000
-0.6% -$42.6K 0.12% 149
2019
Q4
$7.83M Buy
163,100
+4,800
+3% +$230K 0.06% 264
2019
Q3
$7.19M Sell
158,300
-2,800
-2% -$127K 0.07% 311
2019
Q2
$7.44M Sell
161,100
-6,000
-4% -$277K 0.07% 320
2019
Q1
$7.5M Sell
167,100
-2,500
-1% -$112K 0.07% 317
2018
Q4
$5.69M Sell
169,600
-1,200
-0.7% -$40.2K 0.05% 377
2018
Q3
$6M Buy
170,800
+700
+0.4% +$24.6K 0.06% 352
2018
Q2
$6.54M Buy
170,100
+4,500
+3% +$173K 0.06% 385
2018
Q1
$6.87M Buy
165,600
+44,300
+37% +$1.84M 0.05% 409
2017
Q4
$4.85M Buy
121,300
+34,900
+40% +$1.4M 0.03% 503
2017
Q3
$3.45M Hold
86,400
0.03% 568
2017
Q2
$3.41M Buy
86,400
+4,200
+5% +$166K 0.03% 561
2017
Q1
$2.24M Sell
82,200
-7,800
-9% -$212K 0.02% 609
2016
Q4
$2.35M Buy
+90,000
New +$2.35M 0.02% 610