IBM Retirement Fund’s Stryker SYK Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q2
Sell
-5,562
Closed -$1.49M 409
2022
Q1
$1.49M Sell
5,562
-241
-4% -$64.4K 0.21% 87
2021
Q4
$1.55M Sell
5,803
-4,013
-41% -$1.07M 0.19% 92
2021
Q3
$2.59M Buy
9,816
+19
+0.2% +$5.01K 0.2% 90
2021
Q2
$2.55M Sell
9,797
-1,964
-17% -$510K 0.2% 88
2021
Q1
$2.87M Sell
11,761
-1,114
-9% -$271K 0.2% 91
2020
Q4
$3.16M Buy
12,875
+659
+5% +$161K 0.22% 82
2020
Q3
$2.55M Buy
12,216
+3,167
+35% +$660K 0.22% 83
2020
Q2
$1.63M Sell
9,049
-78
-0.9% -$14.1K 0.21% 90
2020
Q1
$1.52M Buy
9,127
+3,128
+52% +$521K 0.28% 83
2019
Q4
$1.26M Sell
5,999
-217
-3% -$45.5K 0.22% 81
2019
Q3
$1.35M Sell
6,216
-59
-0.9% -$12.8K 0.25% 74
2019
Q2
$1.29M Buy
6,275
+107
+2% +$22K 0.24% 72
2019
Q1
$1.22M Buy
6,168
+27
+0.4% +$5.33K 0.24% 78
2018
Q4
$963K Sell
6,141
-395
-6% -$61.9K 0.22% 89
2018
Q3
$1.16M Sell
6,536
-966
-13% -$172K 0.27% 87
2018
Q2
$1.27M Sell
7,502
-941
-11% -$159K 0.26% 85
2018
Q1
$1.36M Buy
8,443
+62
+0.7% +$9.98K 0.25% 96
2017
Q4
$1.42M Sell
8,381
-90
-1% -$15.3K 0.24% 106
2017
Q3
$1.32M Buy
8,471
+138
+2% +$21.6K 0.24% 107
2017
Q2
$1.29M Buy
8,333
+4,579
+122% +$710K 0.24% 109
2017
Q1
$659K Sell
3,754
-27,866
-88% -$4.89M 0.19% 117
2016
Q4
$3.98M Sell
31,620
-198
-0.6% -$24.9K 0.17% 119
2016
Q3
$3.7M Sell
31,818
-12,361
-28% -$1.44M 0.19% 112
2016
Q2
$5.45M Sell
44,179
-88
-0.2% -$10.9K 0.2% 110
2016
Q1
$4.88M Sell
44,267
-37,844
-46% -$4.17M 0.18% 122
2015
Q4
$7.63M Sell
82,111
-154
-0.2% -$14.3K 0.15% 146
2015
Q3
$7.89M Sell
82,265
-261
-0.3% -$25K 0.17% 133
2015
Q2
$7.89M Sell
82,526
-237
-0.3% -$22.7K 0.15% 141
2015
Q1
$7.64M Sell
82,763
-129
-0.2% -$11.9K 0.14% 154
2014
Q4
$7.82M Sell
82,892
-394
-0.5% -$37.2K 0.15% 152
2014
Q3
$6.73M Sell
83,286
-2,546
-3% -$206K 0.13% 162
2014
Q2
$7.19M Buy
85,832
+593
+0.7% +$49.7K 0.14% 164
2014
Q1
$6.94M Sell
85,239
-46,777
-35% -$3.81M 0.14% 164
2013
Q4
$9.92M Sell
132,016
-5,142
-4% -$386K 0.13% 173
2013
Q3
$9.27M Sell
137,158
-19,822
-13% -$1.34M 0.13% 173
2013
Q2
$10.2M Buy
+156,980
New +$10.2M 0.13% 166