EVM
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Eaton Vance Management’s Cognizant CTSH Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q3
$14.7M Sell
255,979
-540
-0.2% -$31K 0.02% 509
2022
Q2
$17.3M Buy
256,519
+14,873
+6% +$1M 0.02% 487
2022
Q1
$21.7M Buy
241,646
+177,241
+275% +$15.9M 0.03% 482
2021
Q4
$5.72M Sell
64,405
-296,716
-82% -$26.3M 0.01% 753
2021
Q3
$26.4M Sell
361,121
-406,145
-53% -$29.7M 0.04% 379
2021
Q2
$53.1M Sell
767,266
-1,182,792
-61% -$81.9M 0.07% 262
2021
Q1
$152M Buy
1,950,058
+222,006
+13% +$17.3M 0.23% 102
2020
Q4
$142M Sell
1,728,052
-72,936
-4% -$5.98M 0.22% 105
2020
Q3
$125M Sell
1,800,988
-71,481
-4% -$4.96M 0.23% 98
2020
Q2
$106M Buy
1,872,469
+157,127
+9% +$8.93M 0.22% 109
2020
Q1
$80.6M Sell
1,715,342
-230,098
-12% -$10.8M 0.2% 112
2019
Q4
$121M Sell
1,945,440
-562,883
-22% -$34.9M 0.24% 106
2019
Q3
$151M Buy
2,508,323
+304,586
+14% +$18.4M 0.32% 78
2019
Q2
$140M Buy
2,203,737
+1,836,231
+500% +$116M 0.31% 83
2019
Q1
$26.6M Sell
367,506
-19,526
-5% -$1.41M 0.06% 260
2018
Q4
$24.6M Sell
387,032
-293,424
-43% -$18.6M 0.06% 247
2018
Q3
$52.5M Buy
680,456
+60,597
+10% +$4.68M 0.12% 175
2018
Q2
$49M Sell
619,859
-546,955
-47% -$43.2M 0.12% 182
2018
Q1
$93.9M Buy
1,166,814
+614,910
+111% +$49.5M 0.12% 179
2017
Q4
$39.2M Buy
551,904
+100,017
+22% +$7.1M 0.09% 199
2017
Q3
$32.8M Buy
451,887
+154,089
+52% +$11.2M 0.08% 208
2017
Q2
$19.8M Buy
297,798
+47,900
+19% +$3.18M 0.05% 257
2017
Q1
$14.9M Buy
249,898
+79
+0% +$4.7K 0.04% 283
2016
Q4
$14M Buy
249,819
+2,004
+0.8% +$112K 0.04% 268
2016
Q3
$11.8M Buy
247,815
+2,798
+1% +$133K 0.03% 279
2016
Q2
$14M Buy
245,017
+71
+0% +$4.06K 0.04% 272
2016
Q1
$15.4M Sell
244,946
-486
-0.2% -$30.5K 0.05% 256
2015
Q4
$14.7M Sell
245,432
-11
-0% -$660 0.04% 268
2015
Q3
$15.4M Buy
245,443
+222,981
+993% +$14M 0.05% 264
2015
Q2
$1.37M Sell
22,462
-75
-0.3% -$4.58K ﹤0.01% 582
2015
Q1
$1.41M Hold
22,537
﹤0.01% 613
2014
Q4
$1.19M Buy
22,537
+134
+0.6% +$7.06K ﹤0.01% 633
2014
Q3
$1M Sell
22,403
-4,816
-18% -$216K ﹤0.01% 648
2014
Q2
$1.33M Buy
27,219
+8,497
+45% +$416K ﹤0.01% 601
2014
Q1
$947K Buy
18,722
+9,391
+101% +$475K ﹤0.01% 657
2013
Q4
$942K Hold
9,331
﹤0.01% 656
2013
Q3
$766K Buy
9,331
+81
+0.9% +$6.65K ﹤0.01% 656
2013
Q2
$579K Buy
+9,250
New +$579K ﹤0.01% 682