Canada Pension Plan Investment Board’s Palo Alto Networks PANW Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$118M Buy
576,800
+260,051
+82% +$53.2M 0.1% 179
2025
Q1
$54.1M Buy
316,749
+256,845
+429% +$43.8M 0.05% 272
2024
Q4
$10.9M Sell
59,904
-1,904,502
-97% -$347M 0.01% 578
2024
Q3
$336M Sell
1,964,406
-2,503,430
-56% -$428M 0.32% 77
2024
Q2
$757M Buy
4,467,836
+229,484
+5% +$38.9M 0.74% 27
2024
Q1
$602M Sell
4,238,352
-49,092
-1% -$6.97M 0.63% 34
2023
Q4
$632M Sell
4,287,444
-121,502
-3% -$17.9M 0.8% 23
2023
Q3
$517M Sell
4,408,946
-107,722
-2% -$12.6M 0.76% 26
2023
Q2
$577M Sell
4,516,668
-9,332
-0.2% -$1.19M 0.88% 23
2023
Q1
$452M Sell
4,526,000
-8,816
-0.2% -$880K 0.72% 35
2022
Q4
$316M Buy
4,534,816
+140,104
+3% +$9.78M 0.56% 48
2022
Q3
$360M Sell
4,394,712
-8,016
-0.2% -$656K 0.61% 46
2022
Q2
$362M Buy
4,402,728
+11,400
+0.3% +$938K 0.6% 45
2022
Q1
$456M Sell
4,391,328
-1,205,964
-22% -$125M 0.61% 41
2021
Q4
$519M Sell
5,597,292
-329,874
-6% -$30.6M 0.55% 39
2021
Q3
$473M Sell
5,927,166
-1,690,716
-22% -$135M 0.54% 42
2021
Q2
$471M Sell
7,617,882
-3,467,988
-31% -$214M 0.56% 36
2021
Q1
$595M Sell
11,085,870
-1,792,206
-14% -$96.2M 0.78% 24
2020
Q4
$763M Sell
12,878,076
-19,038
-0.1% -$1.13M 1.14% 20
2020
Q3
$526M Buy
12,897,114
+1,545,492
+14% +$63M 0.99% 20
2020
Q2
$435M Buy
11,351,622
+2,060,100
+22% +$78.9M 0.93% 24
2020
Q1
$254M Buy
9,291,522
+591,960
+7% +$16.2M 0.67% 37
2019
Q4
$335M Buy
8,699,562
+44,856
+0.5% +$1.73M 0.66% 36
2019
Q3
$294M Buy
8,654,706
+6,906
+0.1% +$235K 0.61% 41
2019
Q2
$294M Buy
8,647,800
+600
+0% +$20.4K 0.59% 41
2019
Q1
$350M Sell
8,647,200
-60
-0% -$2.43K 0.67% 36
2018
Q4
$271M Sell
8,647,260
-998,778
-10% -$31.4M 0.6% 45
2018
Q3
$362M Buy
9,646,038
+878,682
+10% +$33M 0.67% 34
2018
Q2
$300M Buy
8,767,356
+4,020,096
+85% +$138M 0.58% 39
2018
Q1
$144M Sell
4,747,260
-492
-0% -$14.9K 0.24% 88
2017
Q4
$115M Buy
4,747,752
+474
+0% +$11.5K 0.22% 94
2017
Q3
$114M Hold
4,747,278
0.23% 88
2017
Q2
$106M Sell
4,747,278
-95,400
-2% -$2.13M 0.24% 81
2017
Q1
$90.9M Buy
4,842,678
+1,222,812
+34% +$23M 0.24% 76
2016
Q4
$75.4M Hold
3,619,866
0.27% 70
2016
Q3
$96.1M Buy
3,619,866
+2,071,716
+134% +$55M 0.35% 63
2016
Q2
$31.6M Sell
1,548,150
-386,250
-20% -$7.89M 0.13% 131
2016
Q1
$52.6M Buy
1,934,400
+285,000
+17% +$7.75M 0.22% 85
2015
Q4
$48.4M Sell
1,649,400
-334,200
-17% -$9.81M 0.22% 74
2015
Q3
$56.9M Buy
1,983,600
+483,600
+32% +$13.9M 0.23% 77
2015
Q2
$43.7M Buy
+1,500,000
New +$43.7M 0.14% 123