HSBC Holdings’s Cognizant CTSH Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$213M Buy
3,471,681
+741,766
+27% +$53.1M 0.13% 181
2025
Q4
$227M Sell
2,729,915
-660,320
-19% -$49.4M 0.13% 163
2025
Q3
$227M Buy
3,390,235
+883,737
+35% +$63.9M 0.13% 149
2025
Q2
$196M Buy
2,506,498
+297,522
+13% +$22.8M 0.13% 153
2025
Q1
$169M Sell
2,208,976
-1,324,556
-37% -$108M 0.11% 179
2024
Q4
$272M Sell
3,533,532
-757,087
-18% -$59.2M 0.17% 108
2024
Q3
$331M Buy
4,290,619
+1,280,890
+43% +$95.4M 0.21% 87
2024
Q2
$205M Sell
3,009,729
-945,402
-24% -$64.1M 0.13% 144
2024
Q1
$290M Sell
3,955,131
-4,068,579
-51% -$311M 0.21% 91
2023
Q4
$604M Sell
8,023,710
-277,027
-3% -$19.1M 0.55% 29
2023
Q3
$563M Buy
8,300,737
+2,123,411
+34% +$147M 0.62% 28
2023
Q2
$404M Buy
6,177,326
+440,058
+8% +$27.3M 0.43% 40
2023
Q1
$347M Buy
5,737,268
+1,810,197
+46% +$113M 0.45% 41
2022
Q4
$223M Buy
3,927,071
+2,803,418
+249% +$164M 0.28% 69
2022
Q3
$65M Sell
1,123,653
-116,511
-9% -$7.63M 0.12% 176
2022
Q2
$84.1M Buy
1,240,164
+161,685
+15% +$12.4M 0.13% 149
2022
Q1
$97.2M Sell
1,078,479
-88,429
-8% -$7.77M 0.13% 146
2021
Q4
$103M Sell
1,166,908
-94,207
-7% -$7.58M 0.11% 187
2021
Q3
$94M Buy
1,261,115
+355,902
+39% +$26.3M 0.11% 178
2021
Q2
$62.9M Buy
905,213
+17,694
+2% +$1.32M 0.07% 277
2021
Q1
$69.6M Sell
887,519
-203,745
-19% -$15.7M 0.09% 239
2020
Q4
$89M Buy
1,091,264
+229,687
+27% +$17.5M 0.13% 161
2020
Q3
$59.9M Sell
861,577
-2,129
-0.2% -$139K 0.11% 186
2020
Q2
$49.1M Sell
863,706
-438,389
-34% -$23.6M 0.1% 186
2020
Q1
$61.1M Buy
1,302,095
+424,372
+48% +$25.3M 0.16% 135
2019
Q4
$53.6M Buy
877,723
+148,663
+20% +$9.19M 0.11% 207
2019
Q3
$43.9M Buy
729,060
+22,727
+3% +$1.44M 0.11% 256
2019
Q2
$44.8M Sell
706,333
-243,403
-26% -$16M 0.11% 233
2019
Q1
$68.8M Sell
949,736
-106,977
-10% -$7.49M 0.16% 167
2018
Q4
$67.1M Buy
1,056,713
+174,343
+20% +$12.1M 0.17% 162
2018
Q3
$68.1M Buy
882,370
+65,597
+8% +$5.13M 0.14% 183
2018
Q2
$64.5M Sell
816,773
-428,665
-34% -$33.7M 0.14% 156
2018
Q1
$100M Sell
1,245,438
-273,660
-18% -$21.6M 0.17% 119
2017
Q4
$108M Buy
1,519,098
+440,604
+41% +$32.2M 0.16% 122
2017
Q3
$78.2M Sell
1,078,494
-370,582
-26% -$26M 0.15% 142
2017
Q2
$96.2M Buy
1,449,076
+386,037
+36% +$24.5M 0.21% 104
2017
Q1
$63.3M Buy
1,063,039
+161,160
+18% +$9.27M 0.15% 143
2016
Q4
$50.5M Buy
901,879
+4,311
+0.5% +$231K 0.15% 183
2016
Q3
$42.8M Buy
897,568
+310,959
+53% +$17.7M 0.13% 210
2016
Q2
$33.6M Sell
586,609
-56,039
-9% -$3.39M 0.12% 250
2016
Q1
$40.3M Sell
642,648
-95,635
-13% -$5.56M 0.13% 205
2015
Q4
$44.4M Buy
738,283
+137,840
+23% +$8.88M 0.13% 214
2015
Q3
$37.4M Sell
600,443
-175,856
-23% -$11M 0.11% 235
2015
Q2
$47.4M Sell
776,299
-282,060
-27% -$17.7M 0.1% 223
2015
Q1
$66.1M Sell
1,058,359
-492,753
-32% -$29.1M 0.14% 165
2014
Q4
$81.7M Buy
1,551,112
+246,472
+19% +$12.3M 0.2% 127
2014
Q3
$58.4M Buy
1,304,640
+405,567
+45% +$19.1M 0.14% 169
2014
Q2
$44M Sell
899,073
-149,674
-14% -$7.3M 0.1% 214
2014
Q1
$53M Buy
1,048,747
+103,375
+11% +$5.17M 0.14% 165
2013
Q4
$47.7M Sell
945,372
-353,056
-27% -$16.1M 0.15% 173
2013
Q3
$53.3M Buy
1,298,428
+40,496
+3% +$1.5M 0.17% 153
2013
Q2
$39.4M Buy
+1,257,932
New +$41.8M 0.13% 180

Other funds holding CTSH