Goldman Sachs’s CyrusOne Inc Common Stock CONE Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q1
Sell
-5,651,564
Closed -$507M 6059
2021
Q4
$507M Buy
5,651,564
+4,739,972
+520% +$425M 0.1% 154
2021
Q3
$70.6M Buy
911,592
+141,227
+18% +$10.9M 0.02% 852
2021
Q2
$55.1M Buy
770,365
+424,951
+123% +$30.4M 0.01% 1005
2021
Q1
$23.4M Sell
345,414
-1,220,995
-78% -$82.7M 0.01% 1578
2020
Q4
$115M Sell
1,566,409
-132,875
-8% -$9.72M 0.03% 470
2020
Q3
$119M Sell
1,699,284
-803,288
-32% -$56.3M 0.03% 449
2020
Q2
$182M Sell
2,502,572
-270,157
-10% -$19.7M 0.06% 304
2020
Q1
$171M Buy
2,772,729
+557,607
+25% +$34.4M 0.06% 285
2019
Q4
$145M Sell
2,215,122
-435,583
-16% -$28.5M 0.04% 472
2019
Q3
$210M Sell
2,650,705
-284,580
-10% -$22.5M 0.06% 315
2019
Q2
$169M Sell
2,935,285
-656,105
-18% -$37.9M 0.05% 402
2019
Q1
$188M Buy
3,591,390
+400,435
+13% +$21M 0.06% 352
2018
Q4
$169M Sell
3,190,955
-155,842
-5% -$8.24M 0.05% 343
2018
Q3
$212M Buy
3,346,797
+114,585
+4% +$7.26M 0.05% 357
2018
Q2
$189M Buy
3,232,212
+140,758
+5% +$8.21M 0.05% 391
2018
Q1
$158M Sell
3,091,454
-573,740
-16% -$29.4M 0.04% 492
2017
Q4
$218M Sell
3,665,194
-8,423
-0.2% -$501K 0.05% 357
2017
Q3
$216M Sell
3,673,617
-417,898
-10% -$24.6M 0.05% 329
2017
Q2
$228M Sell
4,091,515
-1,086,017
-21% -$60.5M 0.06% 296
2017
Q1
$266M Sell
5,177,532
-897,770
-15% -$46.2M 0.07% 237
2016
Q4
$272M Buy
6,075,302
+2,911,759
+92% +$130M 0.08% 213
2016
Q3
$150M Buy
3,163,543
+61,625
+2% +$2.93M 0.05% 396
2016
Q2
$173M Sell
3,101,918
-37,483
-1% -$2.09M 0.06% 334
2016
Q1
$143M Buy
3,139,401
+327,309
+12% +$14.9M 0.05% 410
2015
Q4
$105M Sell
2,812,092
-256,346
-8% -$9.6M 0.03% 519
2015
Q3
$100M Buy
3,068,438
+263,877
+9% +$8.62M 0.03% 481
2015
Q2
$82.6M Buy
2,804,561
+2,457,074
+707% +$72.4M 0.03% 610
2015
Q1
$10.8M Buy
347,487
+171,477
+97% +$5.34M ﹤0.01% 1630
2014
Q4
$4.85M Buy
176,010
+31,288
+22% +$862K ﹤0.01% 2003
2014
Q3
$3.48M Buy
144,722
+66,368
+85% +$1.6M ﹤0.01% 2189
2014
Q2
$1.95M Buy
+78,354
New +$1.95M ﹤0.01% 2559
2013
Q4
Sell
-39,262
Closed -$746K 4355
2013
Q3
$746K Buy
39,262
+737
+2% +$14K ﹤0.01% 3094
2013
Q2
$799K Buy
+38,525
New +$799K ﹤0.01% 2916