Eaton Vance Management’s McDonald's MCD Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q3
$147M Buy
635,628
+2,003
+0.3% +$462K 0.22% 96
2022
Q2
$156M Sell
633,625
-12,274
-2% -$3.03M 0.22% 97
2022
Q1
$160M Buy
645,899
+108,076
+20% +$26.7M 0.18% 111
2021
Q4
$144M Sell
537,823
-76,195
-12% -$20.4M 0.18% 118
2021
Q3
$145M Buy
614,018
+3,242
+0.5% +$763K 0.2% 107
2021
Q2
$141M Buy
610,776
+17,519
+3% +$4.05M 0.19% 116
2021
Q1
$133M Buy
593,257
+3,403
+0.6% +$763K 0.2% 115
2020
Q4
$127M Buy
589,854
+2,049
+0.3% +$440K 0.2% 119
2020
Q3
$129M Sell
587,805
-1,914
-0.3% -$420K 0.24% 94
2020
Q2
$109M Buy
589,719
+10,520
+2% +$1.94M 0.22% 105
2020
Q1
$95.8M Buy
579,199
+67,924
+13% +$11.2M 0.23% 96
2019
Q4
$101M Buy
511,275
+20,372
+4% +$4.03M 0.2% 119
2019
Q3
$105M Buy
490,903
+20,002
+4% +$4.29M 0.23% 109
2019
Q2
$97.8M Sell
470,901
-9,694
-2% -$2.01M 0.21% 115
2019
Q1
$91.3M Sell
480,595
-7,787
-2% -$1.48M 0.21% 116
2018
Q4
$86.7M Buy
488,382
+4,755
+1% +$844K 0.23% 111
2018
Q3
$80.9M Sell
483,627
-893
-0.2% -$149K 0.18% 135
2018
Q2
$75.9M Sell
484,520
-477,786
-50% -$74.9M 0.18% 137
2018
Q1
$150M Buy
962,306
+486,211
+102% +$76M 0.19% 135
2017
Q4
$81.9M Sell
476,095
-12,678
-3% -$2.18M 0.2% 127
2017
Q3
$76.6M Sell
488,773
-131,811
-21% -$20.7M 0.2% 128
2017
Q2
$95M Sell
620,584
-244,847
-28% -$37.5M 0.25% 110
2017
Q1
$112M Sell
865,431
-112,003
-11% -$14.5M 0.3% 98
2016
Q4
$119M Sell
977,434
-76,322
-7% -$9.29M 0.34% 86
2016
Q3
$122M Sell
1,053,756
-44,186
-4% -$5.1M 0.35% 84
2016
Q2
$132M Sell
1,097,942
-16,561
-1% -$1.99M 0.38% 74
2016
Q1
$140M Sell
1,114,503
-63,109
-5% -$7.93M 0.43% 67
2015
Q4
$139M Sell
1,177,612
-178,922
-13% -$21.1M 0.41% 69
2015
Q3
$134M Buy
1,356,534
+117,893
+10% +$11.6M 0.41% 67
2015
Q2
$118M Buy
1,238,641
+10,243
+0.8% +$974K 0.36% 79
2015
Q1
$120M Sell
1,228,398
-36,859
-3% -$3.59M 0.36% 85
2014
Q4
$119M Sell
1,265,257
-25,157
-2% -$2.36M 0.35% 87
2014
Q3
$122M Sell
1,290,414
-32,714
-2% -$3.1M 0.36% 82
2014
Q2
$133M Sell
1,323,128
-351,416
-21% -$35.4M 0.39% 75
2014
Q1
$164M Sell
1,674,544
-999,812
-37% -$98M 0.48% 64
2013
Q4
$259M Buy
2,674,356
+14,856
+0.6% +$1.44M 0.75% 39
2013
Q3
$256M Sell
2,659,500
-19,211
-0.7% -$1.85M 0.77% 45
2013
Q2
$265M Buy
+2,678,711
New +$265M 0.8% 41