Employees Retirement System of Texas’s Boston Scientific BSX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$60.1M Sell
559,851
-29,649
-5% -$3.18M 0.49% 60
2025
Q1
$59.5M Sell
589,500
-6,800
-1% -$686K 0.54% 53
2024
Q4
$53.3M Sell
596,300
-110,900
-16% -$9.91M 0.45% 71
2024
Q3
$59.3M Sell
707,200
-2,800
-0.4% -$235K 0.51% 64
2024
Q2
$54.7M Hold
710,000
0.51% 64
2024
Q1
$48.6M Hold
710,000
0.53% 68
2023
Q4
$41M Hold
710,000
0.48% 76
2023
Q3
$37.5M Sell
710,000
-37,000
-5% -$1.95M 0.56% 63
2023
Q2
$40.4M Buy
747,000
+32,000
+4% +$1.73M 0.55% 61
2023
Q1
$35.8M Buy
+715,000
New +$35.8M 0.52% 57
2021
Q1
Sell
-374,800
Closed -$13.5M 732
2020
Q4
$13.5M Sell
374,800
-54,000
-13% -$1.94M 0.21% 126
2020
Q3
$16.4M Sell
428,800
-52,000
-11% -$1.99M 0.24% 99
2020
Q2
$16.9M Buy
480,800
+45,000
+10% +$1.58M 0.26% 88
2020
Q1
$14.2M Buy
435,800
+112,000
+35% +$3.65M 0.27% 88
2019
Q4
$14.6M Sell
323,800
-16,600
-5% -$751K 0.23% 110
2019
Q3
$13.9M Buy
340,400
+75,800
+29% +$3.08M 0.22% 112
2019
Q2
$11.4M Sell
264,600
-13,500
-5% -$580K 0.17% 138
2019
Q1
$10.7M Sell
278,100
-34,500
-11% -$1.32M 0.16% 154
2018
Q4
$11M Buy
312,600
+7,300
+2% +$258K 0.18% 126
2018
Q3
$11.8M Sell
305,300
-201,500
-40% -$7.76M 0.16% 149
2018
Q2
$16.6M Sell
506,800
-45,200
-8% -$1.48M 0.22% 87
2018
Q1
$15.1M Sell
552,000
-16,200
-3% -$443K 0.2% 101
2017
Q4
$14.1M Buy
568,200
+33,800
+6% +$838K 0.18% 119
2017
Q3
$15.6M Hold
534,400
0.2% 109
2017
Q2
$14.8M Sell
534,400
-2,000
-0.4% -$55.4K 0.2% 108
2017
Q1
$13.3M Buy
536,400
+29,400
+6% +$731K 0.18% 122
2016
Q4
$11M Sell
507,000
-180,000
-26% -$3.89M 0.15% 162
2016
Q3
$16.4M Hold
687,000
0.22% 105
2016
Q2
$16.1M Buy
687,000
+162,000
+31% +$3.79M 0.22% 109
2016
Q1
$9.88M Hold
525,000
0.14% 173
2015
Q4
$9.68M Buy
525,000
+42,000
+9% +$774K 0.13% 173
2015
Q3
$7.93M Hold
483,000
0.11% 199
2015
Q2
$8.55M Buy
483,000
+398,000
+468% +$7.04M 0.11% 199
2015
Q1
$1.51M Hold
85,000
0.02% 703
2014
Q4
$1.13M Hold
85,000
0.01% 767
2014
Q3
$1M Sell
85,000
-340,000
-80% -$4.02M 0.01% 806
2014
Q2
$5.43M Sell
425,000
-130,400
-23% -$1.67M 0.07% 323
2014
Q1
$7.51M Buy
555,400
+274,000
+97% +$3.7M 0.1% 225
2013
Q4
$3.38M Buy
281,400
+14,660
+5% +$176K 0.04% 450
2013
Q3
$3.13M Buy
266,740
+41,040
+18% +$482K 0.04% 453
2013
Q2
$2.09M Buy
+225,700
New +$2.09M 0.02% 606