First Allied Advisory Services’s Boston Scientific BSX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2020
Q3
$666K Buy
17,422
+35
+0.2% +$1.35K 0.02% 597
2020
Q2
$610K Buy
17,387
+3,775
+28% +$136K 0.02% 578
2020
Q1
$444K Buy
13,612
+895
+7% +$35K 0.02% 638
2019
Q4
$576K Sell
12,717
-341
-3% -$14.3K 0.02% 660
2019
Q3
$526K Sell
13,058
-442
-3% -$18.7K 0.02% 665
2019
Q2
$580K Buy
13,500
+29
+0.2% +$1.11K 0.02% 637
2019
Q1
$515K Buy
13,471
+994
+8% +$38K 0.02% 664
2018
Q4
$444K Sell
12,477
-579
-4% -$21K 0.02% 645
2018
Q3
$499K Buy
13,056
+2,210
+20% +$77.2K 0.02% 725
2018
Q2
$359K Sell
10,846
-1,990
-16% -$60K 0.01% 806
2018
Q1
$351K Buy
+12,836
New +$349K 0.01% 800
2017
Q4
Sell
-7,127
Closed -$211K 1532
2017
Q3
$211K Sell
7,127
-10,344
-59% -$286K 0.01% 992
2017
Q2
$490K Sell
17,471
-176
-1% -$4.67K 0.02% 621
2017
Q1
$439K Sell
17,647
-3,154
-15% -$76.7K 0.02% 637
2016
Q4
$450K Buy
+20,801
New +$454K 0.02% 619
2016
Q3
Sell
-18,348
Closed -$429K 1035
2016
Q2
$429K Buy
18,348
+140
+0.8% +$3.03K 0.02% 601
2016
Q1
$345K Sell
18,208
-169
-0.9% -$2.97K 0.02% 694
2015
Q4
$341K Buy
18,377
+638
+4% +$11.4K 0.02% 726
2015
Q3
$290K Buy
17,739
+194
+1% +$3.32K 0.02% 748
2015
Q2
$307K Sell
17,545
-873
-5% -$15.6K 0.01% 818
2015
Q1
$326K Buy
18,418
+742
+4% +$11.7K 0.02% 740
2014
Q4
$240K Sell
17,676
-588
-3% -$7.52K 0.02% 854
2014
Q3
$212K Buy
+18,264
New +$230K 0.02% 896

Other funds holding BSX