IRF
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IBM Retirement Fund’s Gilead Sciences GILD Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q2
Sell
-19,994
Closed -$1.19M 196
2022
Q1
$1.19M Sell
19,994
-910
-4% -$54.1K 0.17% 107
2021
Q4
$1.52M Sell
20,904
-14,525
-41% -$1.05M 0.19% 95
2021
Q3
$2.48M Buy
35,429
+87
+0.2% +$6.08K 0.19% 93
2021
Q2
$2.43M Sell
35,342
-7,436
-17% -$512K 0.19% 95
2021
Q1
$2.77M Sell
42,778
-3,880
-8% -$251K 0.2% 95
2020
Q4
$2.72M Buy
46,658
+3,675
+9% +$214K 0.19% 98
2020
Q3
$2.72M Buy
42,983
+11,475
+36% +$725K 0.23% 78
2020
Q2
$2.42M Sell
31,508
-781
-2% -$60.1K 0.31% 62
2020
Q1
$2.41M Buy
32,289
+11,360
+54% +$849K 0.44% 52
2019
Q4
$1.36M Sell
20,929
-792
-4% -$51.5K 0.24% 74
2019
Q3
$1.38M Sell
21,721
-232
-1% -$14.7K 0.26% 72
2019
Q2
$1.48M Buy
21,953
+248
+1% +$16.8K 0.28% 67
2019
Q1
$1.41M Sell
21,705
-69
-0.3% -$4.49K 0.28% 65
2018
Q4
$1.36M Sell
21,774
-1,548
-7% -$96.8K 0.31% 62
2018
Q3
$1.8M Sell
23,322
-3,649
-14% -$282K 0.41% 58
2018
Q2
$1.91M Sell
26,971
-3,862
-13% -$274K 0.4% 59
2018
Q1
$2.32M Sell
30,833
-1,240
-4% -$93.5K 0.43% 51
2017
Q4
$2.52M Sell
32,073
-250
-0.8% -$19.6K 0.43% 54
2017
Q3
$2.88M Buy
32,323
+487
+2% +$43.4K 0.53% 45
2017
Q2
$2.52M Buy
31,836
+13,070
+70% +$1.03M 0.47% 46
2017
Q1
$1.61M Sell
18,766
-106,170
-85% -$9.11M 0.46% 49
2016
Q4
$9.41M Sell
124,936
-227
-0.2% -$17.1K 0.4% 46
2016
Q3
$9.9M Sell
125,163
-49,484
-28% -$3.92M 0.5% 38
2016
Q2
$15M Sell
174,647
-5,489
-3% -$472K 0.54% 40
2016
Q1
$17M Sell
180,136
-177,773
-50% -$16.7M 0.64% 32
2015
Q4
$36.2M Buy
357,909
+281
+0.1% +$28.4K 0.69% 27
2015
Q3
$35.8M Sell
357,628
-1,612
-0.4% -$161K 0.76% 23
2015
Q2
$42.1M Sell
359,240
-18,488
-5% -$2.16M 0.8% 20
2015
Q1
$37.1M Sell
377,728
-538
-0.1% -$52.8K 0.7% 25
2014
Q4
$35.7M Sell
378,266
-2,188
-0.6% -$206K 0.67% 27
2014
Q3
$40.5M Sell
380,454
-11,418
-3% -$1.22M 0.81% 21
2014
Q2
$32.3M Sell
391,872
-1,813
-0.5% -$149K 0.62% 32
2014
Q1
$27.8M Sell
393,685
-215,890
-35% -$15.3M 0.55% 34
2013
Q4
$45.8M Sell
609,575
-21,985
-3% -$1.65M 0.6% 33
2013
Q3
$39.7M Sell
631,560
-92,077
-13% -$5.79M 0.54% 36
2013
Q2
$37.1M Buy
+723,637
New +$37.1M 0.46% 37