Jefferies Group’s McKesson MCK Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q3
Sell
-1,500
Closed -$489K 1290
2022
Q2
$489K Buy
+1,500
New +$489K ﹤0.01% 598
2021
Q4
Sell
-1,991
Closed -$397K 1197
2021
Q3
$397K Sell
1,991
-10,545
-84% -$2.1M ﹤0.01% 788
2021
Q2
$2.4M Buy
12,536
+1,339
+12% +$256K 0.02% 414
2021
Q1
$2.18M Buy
11,197
+1,691
+18% +$330K 0.02% 376
2020
Q4
$1.65M Buy
+9,506
New +$1.65M 0.01% 418
2020
Q3
Sell
-2,529
Closed -$388 965
2020
Q2
$388 Sell
2,529
-11,210
-82% -$1.72K ﹤0.01% 562
2020
Q1
$1.86M Sell
13,739
-17,042
-55% -$2.3M 0.02% 325
2019
Q4
$4.26M Sell
30,781
-18,311
-37% -$2.53M 0.03% 283
2019
Q3
$6.71M Buy
49,092
+46,284
+1,648% +$6.33M 0.05% 143
2019
Q2
$377K Sell
2,808
-13,773
-83% -$1.85M ﹤0.01% 1068
2019
Q1
$1.94M Sell
16,581
-3,613
-18% -$423K 0.02% 475
2018
Q4
$2.23M Buy
20,194
+5,013
+33% +$554K 0.02% 362
2018
Q3
$2.01M Buy
15,181
+11,956
+371% +$1.59M 0.01% 477
2018
Q2
$430K Sell
3,225
-6,742
-68% -$899K ﹤0.01% 1018
2018
Q1
$1.4M Sell
9,967
-24,616
-71% -$3.47M 0.01% 551
2017
Q4
$5.39M Buy
34,583
+30,119
+675% +$4.7M 0.03% 225
2017
Q3
$686K Sell
4,464
-15,467
-78% -$2.38M ﹤0.01% 831
2017
Q2
$3.28M Buy
+19,931
New +$3.28M 0.02% 341
2017
Q1
Sell
-5,307
Closed -$745K 1608
2016
Q4
$745K Sell
5,307
-37,965
-88% -$5.33M ﹤0.01% 735
2016
Q3
$7.22M Buy
43,272
+40,847
+1,684% +$6.81M 0.04% 103
2016
Q2
$453K Sell
2,425
-10,488
-81% -$1.96M ﹤0.01% 731
2016
Q1
$2.03M Sell
12,913
-1,772
-12% -$279K 0.01% 316
2015
Q4
$2.9M Sell
14,685
-9,568
-39% -$1.89M 0.02% 224
2015
Q3
$4.49M Buy
24,253
+16,770
+224% +$3.1M 0.03% 180
2015
Q2
$1.68M Buy
+7,483
New +$1.68M 0.01% 433
2015
Q1
Sell
-4,045
Closed -$840K 1454
2014
Q4
$840K Buy
+4,045
New +$840K ﹤0.01% 502
2014
Q3
Sell
-29,615
Closed -$5.52M 1531
2014
Q2
$5.52M Sell
29,615
-6,839
-19% -$1.27M 0.05% 109
2014
Q1
$6.44M Buy
36,454
+27,259
+296% +$4.81M 0.06% 72
2013
Q4
$1.48M Sell
9,195
-4,188
-31% -$676K 0.01% 269
2013
Q3
$1.72M Sell
13,383
-20,658
-61% -$2.65M 0.02% 266
2013
Q2
$3.9M Buy
+34,041
New +$3.9M 0.04% 86