Federated Hermes’s DXC Technology DXC Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$10.8M Buy
706,339
+30,037
+4% +$459K 0.02% 554
2025
Q1
$11.5M Buy
676,302
+8,649
+1% +$147K 0.02% 528
2024
Q4
$13.3M Buy
667,653
+10,497
+2% +$210K 0.03% 499
2024
Q3
$13.6M Buy
657,156
+21,779
+3% +$452K 0.03% 503
2024
Q2
$12.1M Sell
635,377
-3,965
-0.6% -$75.7K 0.03% 510
2024
Q1
$13.6M Buy
639,342
+14,828
+2% +$315K 0.03% 501
2023
Q4
$14.3M Sell
624,514
-9,515
-2% -$218K 0.04% 473
2023
Q3
$13.2M Buy
634,029
+995
+0.2% +$20.7K 0.04% 469
2023
Q2
$16.9M Buy
633,034
+6,925
+1% +$185K 0.04% 425
2023
Q1
$16M Sell
626,109
-946
-0.2% -$24.2K 0.04% 447
2022
Q4
$16.6M Sell
627,055
-55,544
-8% -$1.47M 0.05% 422
2022
Q3
$16.7M Sell
682,599
-11,317
-2% -$277K 0.05% 424
2022
Q2
$21M Sell
693,916
-188,631
-21% -$5.72M 0.06% 378
2022
Q1
$28.8M Buy
882,547
+1,061
+0.1% +$34.6K 0.07% 358
2021
Q4
$28.4M Sell
881,486
-4,272
-0.5% -$138K 0.05% 402
2021
Q3
$29.8M Sell
885,758
-239,374
-21% -$8.05M 0.06% 391
2021
Q2
$43.8M Sell
1,125,132
-47,508
-4% -$1.85M 0.08% 307
2021
Q1
$36.7M Sell
1,172,640
-798,785
-41% -$25M 0.07% 347
2020
Q4
$50.8M Sell
1,971,425
-123,029
-6% -$3.17M 0.1% 247
2020
Q3
$37.4M Sell
2,094,454
-871,550
-29% -$15.6M 0.09% 268
2020
Q2
$48.9M Buy
2,966,004
+921,297
+45% +$15.2M 0.12% 195
2020
Q1
$26.7M Buy
2,044,707
+2,038,391
+32,273% +$26.6M 0.08% 278
2019
Q4
$238K Sell
6,316
-374,628
-98% -$14.1M ﹤0.01% 1577
2019
Q3
$11.2M Sell
380,944
-320,815
-46% -$9.46M 0.03% 539
2019
Q2
$38.7M Sell
701,759
-139,097
-17% -$7.67M 0.09% 233
2019
Q1
$54.1M Buy
840,856
+100,980
+14% +$6.49M 0.13% 171
2018
Q4
$39.3M Buy
739,876
+590,199
+394% +$31.4M 0.11% 204
2018
Q3
$14M Sell
149,677
-5,519
-4% -$516K 0.03% 455
2018
Q2
$12.5M Sell
155,196
-327,590
-68% -$26.4M 0.04% 376
2018
Q1
$42M Buy
482,786
+24,037
+5% +$2.09M 0.12% 147
2017
Q4
$37.7M Sell
458,749
-327,850
-42% -$26.9M 0.11% 157
2017
Q3
$58.4M Buy
786,599
+14,255
+2% +$1.06M 0.17% 112
2017
Q2
$51.3M Buy
+772,344
New +$51.3M 0.15% 120