Canada Life
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Canada Life’s DXC Technology DXC Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$3.11M Sell
203,208
-63,862
-24% -$977K ﹤0.01% 991
2025
Q1
$4.56M Sell
267,070
-17,516
-6% -$299K 0.01% 829
2024
Q4
$5.68M Buy
284,586
+53,692
+23% +$1.07M 0.01% 769
2024
Q3
$4.79M Sell
230,894
-19,866
-8% -$412K 0.01% 892
2024
Q2
$4.79M Sell
250,760
-2,933,605
-92% -$56M 0.01% 845
2024
Q1
$67.6M Buy
3,184,365
+55,467
+2% +$1.18M 0.14% 144
2023
Q4
$71.1M Buy
3,128,898
+21,247
+0.7% +$483K 0.16% 130
2023
Q3
$64.7M Buy
3,107,651
+8,394
+0.3% +$175K 0.16% 126
2023
Q2
$83.3M Buy
3,099,257
+46,850
+2% +$1.26M 0.2% 103
2023
Q1
$78.1M Sell
3,052,407
-188,318
-6% -$4.82M 0.19% 106
2022
Q4
$86.4M Buy
3,240,725
+2,986
+0.1% +$79.6K 0.23% 91
2022
Q3
$79.2M Buy
3,237,739
+17,843
+0.6% +$436K 0.23% 89
2022
Q2
$97.7M Buy
3,219,896
+72,068
+2% +$2.19M 0.26% 71
2022
Q1
$108M Buy
3,147,828
+9,297
+0.3% +$320K 0.23% 85
2021
Q4
$101M Buy
3,138,531
+266,667
+9% +$8.56M 0.21% 89
2021
Q3
$97.2M Buy
2,871,864
+69,482
+2% +$2.35M 0.23% 84
2021
Q2
$109M Sell
2,802,382
-106,222
-4% -$4.13M 0.25% 78
2021
Q1
$90.3M Sell
2,908,604
-115,656
-4% -$3.59M 0.22% 88
2020
Q4
$77.8M Sell
3,024,260
-35,825
-1% -$921K 0.15% 151
2020
Q3
$54.7M Buy
3,060,085
+797,448
+35% +$14.2M 0.12% 178
2020
Q2
$37.2M Sell
2,262,637
-37,166
-2% -$611K 0.09% 231
2020
Q1
$30.2M Buy
2,299,803
+1,092,905
+91% +$14.4M 0.08% 246
2019
Q4
$45M Buy
1,206,898
+42,007
+4% +$1.57M 0.1% 226
2019
Q3
$34.4M Buy
1,164,891
+88,948
+8% +$2.63M 0.08% 263
2019
Q2
$59.2M Buy
1,075,943
+6,077
+0.6% +$335K 0.14% 156
2019
Q1
$68.5M Buy
1,069,866
+58,698
+6% +$3.76M 0.18% 130
2018
Q4
$52M Buy
1,011,168
+110,063
+12% +$5.66M 0.15% 150
2018
Q3
$84.4M Sell
901,105
-18,997
-2% -$1.78M 0.2% 117
2018
Q2
$74.2M Buy
920,102
+220,730
+32% +$17.8M 0.17% 132
2018
Q1
$70.4M Buy
699,372
+229,827
+49% +$23.1M 0.17% 133
2017
Q4
$44.5M Buy
469,545
+13,849
+3% +$1.31M 0.1% 212
2017
Q3
$38.6M Sell
455,696
-4,762
-1% -$404K 0.1% 216
2017
Q2
$35.3M Buy
+460,458
New +$35.3M 0.09% 234