Invesco’s DXC Technology DXC Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$138M Sell
9,049,627
-16,004
-0.2% -$245K 0.02% 741
2025
Q1
$155M Sell
9,065,631
-63,340
-0.7% -$1.08M 0.03% 685
2024
Q4
$182M Sell
9,128,971
-13,582
-0.1% -$271K 0.03% 660
2024
Q3
$190M Sell
9,142,553
-400,514
-4% -$8.31M 0.04% 617
2024
Q2
$182M Sell
9,543,067
-183,733
-2% -$3.51M 0.04% 595
2024
Q1
$206M Buy
9,726,800
+52,613
+0.5% +$1.12M 0.04% 567
2023
Q4
$221M Sell
9,674,187
-7,406,189
-43% -$169M 0.05% 505
2023
Q3
$356M Buy
17,080,376
+1,478,484
+9% +$30.8M 0.1% 270
2023
Q2
$417M Buy
15,601,892
+123,921
+0.8% +$3.31M 0.11% 233
2023
Q1
$396M Buy
15,477,971
+3,102
+0% +$79.3K 0.11% 228
2022
Q4
$410M Buy
15,474,869
+1,409,436
+10% +$37.4M 0.12% 210
2022
Q3
$344M Buy
14,065,433
+472,351
+3% +$11.6M 0.11% 229
2022
Q2
$412M Buy
13,593,082
+357,075
+3% +$10.8M 0.12% 192
2022
Q1
$432M Buy
13,236,007
+1,181,582
+10% +$38.6M 0.11% 228
2021
Q4
$388M Buy
12,054,425
+2,253,875
+23% +$72.6M 0.09% 273
2021
Q3
$329M Buy
9,800,550
+3,062,011
+45% +$103M 0.08% 296
2021
Q2
$262M Buy
6,738,539
+2,014,189
+43% +$78.4M 0.06% 385
2021
Q1
$148M Buy
4,724,350
+246,180
+5% +$7.7M 0.04% 617
2020
Q4
$115M Buy
4,478,170
+288,796
+7% +$7.44M 0.03% 666
2020
Q3
$74.8M Sell
4,189,374
-458,544
-10% -$8.18M 0.03% 754
2020
Q2
$76.7M Buy
4,647,918
+2,085,051
+81% +$34.4M 0.03% 711
2020
Q1
$33.4M Sell
2,562,867
-153,008
-6% -$2M 0.01% 978
2019
Q4
$102M Sell
2,715,875
-990,338
-27% -$37.2M 0.03% 648
2019
Q3
$109M Sell
3,706,213
-493,125
-12% -$14.5M 0.03% 621
2019
Q2
$232M Buy
4,199,338
+2,402,773
+134% +$133M 0.06% 379
2019
Q1
$116M Buy
1,796,565
+364,868
+25% +$23.5M 0.04% 489
2018
Q4
$76.1M Buy
1,431,697
+396,465
+38% +$21.1M 0.03% 575
2018
Q3
$96.8M Buy
1,035,232
+25
+0% +$2.34K 0.03% 569
2018
Q2
$83.4M Buy
1,035,207
+263,764
+34% +$21.3M 0.03% 619
2018
Q1
$67.1M Sell
771,443
-7,788
-1% -$677K 0.03% 615
2017
Q4
$64M Buy
779,231
+292,348
+60% +$24M 0.02% 655
2017
Q3
$36.2M Sell
486,883
-130,340
-21% -$9.68M 0.01% 907
2017
Q2
$41M Buy
+617,223
New +$41M 0.01% 876