IRF
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IBM Retirement Fund’s Boston Scientific BSX Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q2
Sell
-22,644
Closed -$1M 69
2022
Q1
$1M Sell
22,644
-966
-4% -$42.8K 0.14% 129
2021
Q4
$1M Sell
23,610
-16,493
-41% -$701K 0.12% 144
2021
Q3
$1.74M Buy
40,103
+110
+0.3% +$4.77K 0.14% 129
2021
Q2
$1.71M Sell
39,993
-8,556
-18% -$366K 0.13% 134
2021
Q1
$1.88M Sell
48,549
-4,521
-9% -$175K 0.13% 136
2020
Q4
$1.91M Buy
53,070
+6,572
+14% +$236K 0.13% 138
2020
Q3
$1.78M Buy
46,498
+13,792
+42% +$527K 0.15% 122
2020
Q2
$1.15M Sell
32,706
-149
-0.5% -$5.23K 0.15% 128
2020
Q1
$1.07M Buy
32,855
+12,363
+60% +$403K 0.2% 116
2019
Q4
$927K Sell
20,492
-853
-4% -$38.6K 0.17% 112
2019
Q3
$869K Sell
21,345
-245
-1% -$9.97K 0.16% 113
2019
Q2
$928K Buy
21,590
+466
+2% +$20K 0.17% 105
2019
Q1
$811K Buy
21,124
+133
+0.6% +$5.11K 0.16% 114
2018
Q4
$742K Sell
20,991
-1,585
-7% -$56K 0.17% 110
2018
Q3
$869K Sell
22,576
-3,866
-15% -$149K 0.2% 123
2018
Q2
$865K Sell
26,442
-3,751
-12% -$123K 0.18% 133
2018
Q1
$825K Sell
30,193
-4,036
-12% -$110K 0.15% 157
2017
Q4
$932K Sell
34,229
-82
-0.2% -$2.23K 0.16% 168
2017
Q3
$1.1M Buy
34,311
+786
+2% +$25.3K 0.2% 131
2017
Q2
$1.04M Buy
33,525
+18,483
+123% +$572K 0.19% 135
2017
Q1
$499K Sell
15,042
-111,437
-88% -$3.7M 0.14% 151
2016
Q4
$2.87M Sell
126,479
-635
-0.5% -$14.4K 0.12% 167
2016
Q3
$3.03M Sell
127,114
-49,508
-28% -$1.18M 0.15% 142
2016
Q2
$4.25M Buy
176,622
+1,823
+1% +$43.9K 0.15% 143
2016
Q1
$3.38M Sell
174,799
-151,256
-46% -$2.92M 0.13% 174
2015
Q4
$6.01M Sell
326,055
-350
-0.1% -$6.45K 0.12% 185
2015
Q3
$5.46M Sell
326,405
-1,006
-0.3% -$16.8K 0.12% 194
2015
Q2
$5.8M Sell
327,411
-883
-0.3% -$15.6K 0.11% 191
2015
Q1
$5.83M Sell
328,294
-225
-0.1% -$3.99K 0.11% 202
2014
Q4
$4.35M Sell
328,519
-1,549
-0.5% -$20.5K 0.08% 263
2014
Q3
$3.9M Sell
330,068
-9,976
-3% -$118K 0.08% 263
2014
Q2
$4.32M Sell
340,044
-8,016
-2% -$102K 0.08% 255
2014
Q1
$4.7M Sell
348,060
-192,283
-36% -$2.59M 0.09% 225
2013
Q4
$6.49M Sell
540,343
-20,152
-4% -$242K 0.09% 249
2013
Q3
$6.58M Sell
560,495
-81,555
-13% -$957K 0.09% 235
2013
Q2
$5.95M Buy
+642,050
New +$5.95M 0.07% 285