GKIM
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GW&K Investment Management’s Cognizant CTSH Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$23K Sell
297
-61
-17% -$4.72K ﹤0.01% 678
2025
Q1
$27K Buy
358
+62
+21% +$4.68K ﹤0.01% 587
2024
Q4
$23K Buy
296
+3
+1% +$233 ﹤0.01% 590
2024
Q3
$23K Buy
293
+49
+20% +$3.85K ﹤0.01% 582
2024
Q2
$17K Buy
244
+48
+24% +$3.34K ﹤0.01% 597
2024
Q1
$14K Buy
196
+11
+6% +$786 ﹤0.01% 596
2023
Q4
$14K Buy
185
+12
+7% +$908 ﹤0.01% 583
2023
Q3
$12K Buy
173
+8
+5% +$555 ﹤0.01% 570
2023
Q2
$11K Buy
+165
New +$11K ﹤0.01% 574
2022
Q3
Sell
-43
Closed -$3K 500
2022
Q2
$3K Buy
43
+2
+5% +$140 ﹤0.01% 678
2022
Q1
$4K Buy
+41
New +$4K ﹤0.01% 564
2019
Q2
Sell
-155,175
Closed -$11.2M 340
2019
Q1
$11.2M Sell
155,175
-2,696
-2% -$195K 0.18% 196
2018
Q4
$10M Sell
157,871
-1,610
-1% -$102K 0.2% 177
2018
Q3
$12.3M Sell
159,481
-2,583
-2% -$199K 0.2% 179
2018
Q2
$12.8M Sell
162,064
-4,120
-2% -$325K 0.21% 174
2018
Q1
$13.4M Sell
166,184
-21,632
-12% -$1.74M 0.23% 170
2017
Q4
$13.3M Sell
187,816
-12,288
-6% -$873K 0.23% 161
2017
Q3
$14.5M Sell
200,104
-1,156
-0.6% -$83.9K 0.24% 163
2017
Q2
$13.4M Sell
201,260
-4,380
-2% -$291K 0.23% 154
2017
Q1
$12.2M Sell
205,640
-11,733
-5% -$698K 0.23% 155
2016
Q4
$12.2M Buy
217,373
+32,587
+18% +$1.83M 0.24% 154
2016
Q3
$8.82M Sell
184,786
-2,734
-1% -$130K 0.17% 171
2016
Q2
$10.7M Sell
187,520
-5,435
-3% -$311K 0.22% 149
2016
Q1
$12.1M Buy
192,955
+300
+0.2% +$18.8K 0.27% 132
2015
Q4
$11.6M Buy
192,655
+800
+0.4% +$48K 0.27% 126
2015
Q3
$12M Sell
191,855
-5,828
-3% -$365K 0.29% 124
2015
Q2
$12.1M Sell
197,683
-1,519
-0.8% -$92.8K 0.27% 123
2015
Q1
$12.4M Sell
199,202
-4,826
-2% -$301K 0.28% 124
2014
Q4
$10.7M Sell
204,028
-4,498
-2% -$237K 0.26% 129
2014
Q3
$9.34M Sell
208,526
-722
-0.3% -$32.3K 0.25% 127
2014
Q2
$10.2M Sell
209,248
-6,701
-3% -$328K 0.26% 121
2014
Q1
$10.9M Buy
215,949
+110,182
+104% +$5.58M 0.29% 116
2013
Q4
$10.7M Buy
105,767
+1,171
+1% +$118K 0.29% 113
2013
Q3
$8.59M Sell
104,596
-146
-0.1% -$12K 0.26% 117
2013
Q2
$6.56M Buy
+104,742
New +$6.56M 0.24% 130