JFGIW
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Johnson Financial Group Inc (Wisconsin)’s Cognizant CTSH Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$618K Sell
7,919
-780
-9% -$60.9K 0.03% 201
2025
Q1
$665K Sell
8,699
-16
-0.2% -$1.22K 0.03% 192
2024
Q4
$720K Sell
8,715
-311
-3% -$25.7K 0.03% 174
2024
Q3
$697K Buy
9,026
+2,105
+30% +$162K 0.03% 193
2024
Q2
$471K Buy
6,921
+1,374
+25% +$93.4K 0.02% 217
2024
Q1
$407K Buy
5,547
+380
+7% +$27.9K 0.02% 222
2023
Q4
$390K Buy
5,167
+277
+6% +$20.9K 0.02% 212
2023
Q3
$331K Buy
+4,890
New +$331K 0.02% 205
2022
Q3
Sell
-9
Closed -$1K 665
2022
Q2
$1K Buy
+9
New +$1K ﹤0.01% 627
2020
Q4
Sell
-32
Closed -$2K 498
2020
Q3
$2K Hold
32
﹤0.01% 428
2020
Q2
$2K Sell
32
-2,765
-99% -$173K ﹤0.01% 423
2020
Q1
$130K Sell
2,797
-625
-18% -$29K 0.02% 218
2019
Q4
$212K Sell
3,422
-313
-8% -$19.4K 0.02% 201
2019
Q3
$225K Sell
3,735
-372
-9% -$22.4K 0.02% 214
2019
Q2
$260K Buy
4,107
+1,780
+76% +$113K 0.02% 205
2019
Q1
$169K Buy
2,327
+620
+36% +$45K 0.02% 227
2018
Q4
$108K Buy
1,707
+85
+5% +$5.38K 0.01% 254
2018
Q3
$125K Buy
1,622
+1,558
+2,434% +$120K 0.01% 245
2018
Q2
$5K Hold
64
﹤0.01% 486
2018
Q1
$5K Hold
64
﹤0.01% 496
2017
Q4
$5K Sell
64
-252
-80% -$19.7K ﹤0.01% 523
2017
Q3
$23K Sell
316
-1,794
-85% -$131K ﹤0.01% 398
2017
Q2
$140K Sell
2,110
-8,848
-81% -$587K 0.02% 256
2017
Q1
$652K Sell
10,958
-3,149
-22% -$187K 0.08% 183
2016
Q4
$790K Buy
14,107
+1,590
+13% +$89K 0.11% 166
2016
Q3
$598K Sell
12,517
-331
-3% -$15.8K 0.08% 185
2016
Q2
$736K Buy
12,848
+8,604
+203% +$493K 0.1% 165
2016
Q1
$266K Buy
4,244
+547
+15% +$34.3K 0.05% 224
2015
Q4
$221K Buy
3,697
+380
+11% +$22.7K 0.05% 234
2015
Q3
$207K Buy
3,317
+2,805
+548% +$175K 0.05% 244
2015
Q2
$32K Sell
512
-81
-14% -$5.06K 0.01% 548
2015
Q1
$37K Hold
593
0.01% 548
2014
Q4
$32K Buy
593
+303
+104% +$16.4K 0.01% 537
2014
Q3
$13K Hold
290
﹤0.01% 587
2014
Q2
$14K Sell
290
-600
-67% -$29K ﹤0.01% 578
2014
Q1
$45K Buy
890
+425
+91% +$21.5K 0.01% 399
2013
Q4
$47K Sell
465
-40
-8% -$4.04K 0.01% 380
2013
Q3
$41K Sell
505
-100
-17% -$8.12K 0.01% 423
2013
Q2
$38K Buy
+605
New +$38K 0.01% 445