Dynamic Technology Lab’s McKesson MCK Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
Sell
-430
Closed -$289K 1191
2025
Q1
$289K Buy
+430
New +$289K 0.04% 724
2024
Q3
Sell
-3,623
Closed -$2.12M 1218
2024
Q2
$2.12M Buy
3,623
+2,454
+210% +$1.43M 0.24% 102
2024
Q1
$628K Buy
+1,169
New +$628K 0.07% 512
2022
Q4
Sell
-2,286
Closed -$777K 1346
2022
Q3
$777K Buy
+2,286
New +$777K 0.08% 466
2021
Q3
Sell
-1,297
Closed -$248K 1316
2021
Q2
$248K Buy
+1,297
New +$248K 0.02% 865
2021
Q1
Sell
-1,339
Closed -$233K 1371
2020
Q4
$233K Sell
1,339
-493
-27% -$85.8K 0.04% 766
2020
Q3
$273K Sell
1,832
-3,057
-63% -$456K 0.04% 694
2020
Q2
$750K Buy
+4,889
New +$750K 0.11% 290
2019
Q3
Sell
-5,383
Closed -$723K 1149
2019
Q2
$723K Buy
5,383
+2,206
+69% +$296K 0.12% 279
2019
Q1
$372K Sell
3,177
-2,601
-45% -$305K 0.06% 554
2018
Q4
$639K Sell
5,778
-522
-8% -$57.7K 0.11% 306
2018
Q3
$836K Sell
6,300
-3,449
-35% -$458K 0.12% 288
2018
Q2
$1.3M Buy
9,749
+8,254
+552% +$1.1M 0.2% 130
2018
Q1
$210K Sell
1,495
-1,605
-52% -$225K 0.03% 875
2017
Q4
$483K Buy
+3,100
New +$483K 0.09% 453
2017
Q1
Sell
-2,700
Closed -$379K 1138
2016
Q4
$379K Buy
+2,700
New +$379K 0.1% 403
2016
Q3
Sell
-2,006
Closed -$375K 1034
2016
Q2
$375K Sell
2,006
-94
-4% -$17.6K 0.1% 402
2016
Q1
$330K Buy
2,100
+1,016
+94% +$160K 0.09% 478
2015
Q4
$214K Sell
1,084
-609
-36% -$120K 0.06% 680
2015
Q3
$313K Buy
1,693
+561
+50% +$104K 0.11% 422
2015
Q2
$254K Sell
1,132
-235
-17% -$52.7K 0.09% 501
2015
Q1
$309K Buy
1,367
+236
+21% +$53.3K 0.13% 348
2014
Q4
$235K Buy
1,131
+51
+5% +$10.6K 0.12% 399
2014
Q3
$210K Buy
+1,080
New +$210K 0.1% 485
2013
Q4
Sell
-2,000
Closed -$257K 636
2013
Q3
$257K Buy
+2,000
New +$257K 0.21% 213