California Public Employees Retirement System’s Boston Scientific BSX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$366M Sell
3,411,074
-151,279
-4% -$16.2M 0.23% 67
2025
Q1
$359M Sell
3,562,353
-56,759
-2% -$5.73M 0.25% 71
2024
Q4
$323M Buy
3,619,112
+208,741
+6% +$18.6M 0.22% 81
2024
Q3
$286M Sell
3,410,371
-49,874
-1% -$4.18M 0.2% 101
2024
Q2
$266M Sell
3,460,245
-268,103
-7% -$20.6M 0.2% 105
2024
Q1
$255M Sell
3,728,348
-70,163
-2% -$4.81M 0.18% 117
2023
Q4
$220M Buy
3,798,511
+112,222
+3% +$6.49M 0.17% 129
2023
Q3
$195M Buy
3,686,289
+1,047,188
+40% +$55.3M 0.17% 130
2023
Q2
$143M Sell
2,639,101
-42,172
-2% -$2.28M 0.12% 164
2023
Q1
$134M Sell
2,681,273
-460,182
-15% -$23M 0.12% 165
2022
Q4
$145M Sell
3,141,455
-108,147
-3% -$5M 0.12% 170
2022
Q3
$126M Buy
3,249,602
+608,742
+23% +$23.6M 0.12% 170
2022
Q2
$98.4M Sell
2,640,860
-118,245
-4% -$4.41M 0.09% 215
2022
Q1
$122M Sell
2,759,105
-248,532
-8% -$11M 0.1% 206
2021
Q4
$128M Sell
3,007,637
-146,229
-5% -$6.21M 0.09% 222
2021
Q3
$137M Sell
3,153,866
-32,783
-1% -$1.42M 0.1% 198
2021
Q2
$136M Buy
3,186,649
+184,677
+6% +$7.9M 0.1% 205
2021
Q1
$116M Sell
3,001,972
-131,274
-4% -$5.07M 0.09% 228
2020
Q4
$113M Buy
3,133,246
+135,290
+5% +$4.86M 0.09% 228
2020
Q3
$115M Buy
2,997,956
+137,088
+5% +$5.24M 0.1% 197
2020
Q2
$100M Sell
2,860,868
-269,080
-9% -$9.45M 0.1% 215
2020
Q1
$102M Sell
3,129,948
-160,366
-5% -$5.23M 0.12% 173
2019
Q4
$149M Buy
3,290,314
+175,533
+6% +$7.94M 0.13% 160
2019
Q3
$127M Buy
3,114,781
+753,657
+32% +$30.7M 0.13% 173
2019
Q2
$101M Sell
2,361,124
-123,175
-5% -$5.29M 0.12% 188
2019
Q1
$95.3M Sell
2,484,299
-1,312,358
-35% -$50.4M 0.12% 187
2018
Q4
$134M Buy
3,796,657
+666,017
+21% +$23.5M 0.19% 124
2018
Q3
$121M Sell
3,130,640
-202,521
-6% -$7.8M 0.16% 138
2018
Q2
$109M Buy
3,333,161
+435,411
+15% +$14.2M 0.15% 147
2018
Q1
$79.2M Sell
2,897,750
-190,928
-6% -$5.22M 0.11% 178
2017
Q4
$76.6M Buy
3,088,678
+186,048
+6% +$4.61M 0.1% 196
2017
Q3
$84.7M Buy
2,902,630
+125,810
+5% +$3.67M 0.13% 158
2017
Q2
$77M Buy
2,776,820
+1,400
+0.1% +$38.8K 0.12% 169
2017
Q1
$69M Sell
2,775,420
-49,200
-2% -$1.22M 0.11% 179
2016
Q4
$61.1M Sell
2,824,620
-370,100
-12% -$8.01M 0.1% 200
2016
Q3
$76M Sell
3,194,720
-195,600
-6% -$4.66M 0.13% 159
2016
Q2
$79.2M Sell
3,390,320
-92,800
-3% -$2.17M 0.13% 153
2016
Q1
$65.5M Sell
3,483,120
-19,600
-0.6% -$369K 0.11% 191
2015
Q4
$64.6M Sell
3,502,720
-38,200
-1% -$704K 0.1% 198
2015
Q3
$58.1M Sell
3,540,920
-243,500
-6% -$4M 0.1% 205
2015
Q2
$67M Sell
3,784,420
-991,085
-21% -$17.5M 0.1% 204
2015
Q1
$70.4M Hold
4,775,505
0.1% 217
2014
Q4
$70.4M Sell
4,775,505
-1,110,061
-19% -$16.4M 0.1% 217
2014
Q3
$69.5M Buy
5,885,566
+270,582
+5% +$3.2M 0.1% 208
2014
Q2
$71.7M Buy
5,614,984
+1,035,164
+23% +$13.2M 0.1% 201
2014
Q1
$59.1M Buy
4,579,820
+40,000
+0.9% +$516K 0.08% 225
2013
Q4
$55.3M Sell
4,539,820
-24,629
-0.5% -$300K 0.08% 237
2013
Q3
$53.6M Sell
4,564,449
-94,765
-2% -$1.11M 0.1% 196
2013
Q2
$43.2M Buy
+4,659,214
New +$43.2M 0.09% 231