Dimensional Fund Advisors
DXC icon

Dimensional Fund Advisors’s DXC Technology DXC Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$161M Sell
10,511,887
-87,961
-0.8% -$1.34M 0.04% 652
2025
Q1
$181M Buy
10,599,848
+163,291
+2% +$2.78M 0.04% 534
2024
Q4
$209M Buy
10,436,557
+378,338
+4% +$7.56M 0.05% 464
2024
Q3
$209M Buy
10,058,219
+241,798
+2% +$5.02M 0.05% 466
2024
Q2
$187M Sell
9,816,421
-12,817
-0.1% -$245K 0.05% 483
2024
Q1
$208M Buy
9,829,238
+1,360,663
+16% +$28.9M 0.06% 419
2023
Q4
$194M Buy
8,468,575
+1,386,314
+20% +$31.7M 0.06% 429
2023
Q3
$148M Sell
7,082,261
-51,040
-0.7% -$1.06M 0.05% 506
2023
Q2
$191M Buy
7,133,301
+981,650
+16% +$26.2M 0.06% 362
2023
Q1
$157M Buy
6,151,651
+402,534
+7% +$10.3M 0.05% 457
2022
Q4
$152K Buy
5,749,117
+294,897
+5% +$7.82K 0.05% 474
2022
Q3
$134M Buy
5,454,220
+548,891
+11% +$13.4M 0.05% 489
2022
Q2
$149M Buy
4,905,329
+271,059
+6% +$8.22M 0.05% 432
2022
Q1
$151M Buy
4,634,270
+80,959
+2% +$2.64M 0.05% 534
2021
Q4
$147M Sell
4,553,311
-48,187
-1% -$1.55M 0.04% 576
2021
Q3
$155M Buy
4,601,498
+59,952
+1% +$2.02M 0.05% 505
2021
Q2
$177M Sell
4,541,546
-272,358
-6% -$10.6M 0.06% 415
2021
Q1
$150M Buy
4,813,904
+240,893
+5% +$7.53M 0.05% 507
2020
Q4
$118M Buy
4,573,011
+535,201
+13% +$13.8M 0.04% 611
2020
Q3
$72.1M Buy
4,037,810
+119,781
+3% +$2.14M 0.03% 851
2020
Q2
$64.6M Sell
3,918,029
-136,915
-3% -$2.26M 0.03% 948
2020
Q1
$53M Buy
4,054,944
+177,324
+5% +$2.32M 0.03% 986
2019
Q4
$146M Buy
3,877,620
+93,974
+2% +$3.53M 0.05% 442
2019
Q3
$112M Buy
3,783,646
+293,820
+8% +$8.67M 0.04% 585
2019
Q2
$192M Buy
3,489,826
+62,483
+2% +$3.45M 0.07% 239
2019
Q1
$220M Buy
3,427,343
+127,385
+4% +$8.19M 0.09% 178
2018
Q4
$175M Buy
3,299,958
+411,494
+14% +$21.9M 0.08% 217
2018
Q3
$270M Buy
2,888,464
+451,346
+19% +$42.2M 0.1% 132
2018
Q2
$196M Sell
2,437,118
-44,934
-2% -$3.62M 0.08% 218
2018
Q1
$250M Sell
2,482,052
-484,586
-16% -$48.7M 0.1% 156
2017
Q4
$282M Sell
2,966,638
-26,888
-0.9% -$2.55M 0.12% 127
2017
Q3
$257M Sell
2,993,526
-2,521
-0.1% -$216K 0.11% 139
2017
Q2
$230M Buy
+2,996,047
New +$230M 0.11% 152