Connor, Clark & Lunn Investment Management (CC&L)
CYH icon

Connor, Clark & Lunn Investment Management (CC&L)’s Community Health Systems CYH Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$579K Buy
170,368
+149,161
+703% +$507K ﹤0.01% 1212
2025
Q1
$57.3K Sell
21,207
-213,971
-91% -$578K ﹤0.01% 1368
2024
Q4
$703K Sell
235,178
-29,020
-11% -$86.8K ﹤0.01% 1054
2024
Q3
$1.6M Buy
264,198
+221,759
+523% +$1.35M 0.01% 723
2024
Q2
$143K Buy
+42,439
New +$143K ﹤0.01% 1289
2022
Q4
Sell
-182,106
Closed -$392K 1262
2022
Q3
$392K Sell
182,106
-30,096
-14% -$64.8K ﹤0.01% 869
2022
Q2
$796K Sell
212,202
-180,599
-46% -$677K ﹤0.01% 673
2022
Q1
$4.66M Sell
392,801
-184,462
-32% -$2.19M 0.02% 339
2021
Q4
$7.68M Sell
577,263
-332,770
-37% -$4.43M 0.04% 274
2021
Q3
$10.6M Sell
910,033
-397,650
-30% -$4.65M 0.06% 235
2021
Q2
$20.2M Sell
1,307,683
-246,688
-16% -$3.81M 0.1% 172
2021
Q1
$21M Sell
1,554,371
-38,684
-2% -$523K 0.12% 148
2020
Q4
$11.8M Sell
1,593,055
-86,974
-5% -$646K 0.07% 206
2020
Q3
$7.09M Sell
1,680,029
-74,640
-4% -$315K 0.05% 249
2020
Q2
$5.28M Sell
1,754,669
-255,057
-13% -$768K 0.04% 286
2020
Q1
$6.71M Sell
2,009,726
-1,033,500
-34% -$3.45M 0.06% 214
2019
Q4
$8.83M Sell
3,043,226
-226,400
-7% -$657K 0.06% 196
2019
Q3
$11.8M Sell
3,269,626
-303,814
-9% -$1.09M 0.08% 165
2019
Q2
$9.54M Sell
3,573,440
-160,396
-4% -$428K 0.06% 198
2019
Q1
$13.9M Sell
3,733,836
-1,254,204
-25% -$4.68M 0.09% 155
2018
Q4
$14.1M Sell
4,988,040
-712,355
-12% -$2.01M 0.1% 150
2018
Q3
$19.7M Buy
5,700,395
+603,012
+12% +$2.09M 0.11% 137
2018
Q2
$16.9M Buy
5,097,383
+749,092
+17% +$2.49M 0.1% 153
2018
Q1
$17.2M Buy
4,348,291
+558,965
+15% +$2.21M 0.1% 145
2017
Q4
$16.1M Buy
3,789,326
+1,938,890
+105% +$8.26M 0.09% 157
2017
Q3
$14.2M Buy
1,850,436
+1,485,981
+408% +$11.4M 0.09% 164
2017
Q2
$3.63M Sell
364,455
-229,850
-39% -$2.29M 0.02% 309
2017
Q1
$5.27M Sell
594,305
-301,080
-34% -$2.67M 0.03% 244
2016
Q4
$5.01M Buy
895,385
+41,336
+5% +$231K 0.03% 253
2016
Q3
$9.86M Sell
854,049
-32,600
-4% -$376K 0.07% 169
2016
Q2
$10.7M Buy
886,649
+87,840
+11% +$1.06M 0.08% 156
2016
Q1
$14.8M Buy
798,809
+552,259
+224% +$10.2M 0.11% 125
2015
Q4
$6.54M Buy
246,550
+212,750
+629% +$5.64M 0.05% 184
2015
Q3
$1.45M Buy
+33,800
New +$1.45M 0.01% 343
2014
Q1
Sell
-22,500
Closed -$939K 694
2013
Q4
$939K Sell
22,500
-19,600
-47% -$818K 0.01% 381
2013
Q3
$1.8M Sell
42,100
-34,400
-45% -$1.47M 0.02% 210
2013
Q2
$3.78M Buy
+76,500
New +$3.78M 0.04% 126