Ken Griffin’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
$67.8M Buy
4,431,945
+2,264,051
+104% +$34.6M 0.01% 412
2025
Q1
$37M Buy
+2,167,894
New +$37M 0.01% 605
2024
Q4
Sell
-865,256
Closed -$18M 6162
2024
Q3
$18M Buy
865,256
+43,336
+5% +$899K ﹤0.01% 910
2024
Q2
$15.7M Sell
821,920
-1,570,982
-66% -$30M ﹤0.01% 987
2024
Q1
$50.8M Buy
2,392,902
+1,755,943
+276% +$37.2M 0.01% 482
2023
Q4
$14.6M Buy
636,959
+29,220
+5% +$668K ﹤0.01% 1015
2023
Q3
$12.7M Buy
607,739
+138,906
+30% +$2.89M ﹤0.01% 1018
2023
Q2
$12.5M Buy
468,833
+466,652
+21,396% +$12.5M ﹤0.01% 1063
2023
Q1
$55.7K Sell
2,181
-124,260
-98% -$3.18M ﹤0.01% 5127
2022
Q4
$3.35M Sell
126,441
-59,504
-32% -$1.58M ﹤0.01% 2145
2022
Q3
$4.55M Sell
185,945
-3,103
-2% -$76K ﹤0.01% 1948
2022
Q2
$5.73M Sell
189,048
-642,674
-77% -$19.5M ﹤0.01% 1735
2022
Q1
$27.1M Buy
831,722
+683,998
+463% +$22.3M 0.01% 727
2021
Q4
$4.76M Buy
147,724
+121,632
+466% +$3.92M ﹤0.01% 2140
2021
Q3
$877K Buy
+26,092
New +$877K ﹤0.01% 3920
2021
Q2
Hold
0
6530
2021
Q1
Sell
-232,038
Closed -$5.98M 6353
2020
Q4
$5.98M Buy
232,038
+14,156
+6% +$365K ﹤0.01% 1624
2020
Q3
$3.89M Sell
217,882
-460,296
-68% -$8.22M ﹤0.01% 1689
2020
Q2
$11.2M Sell
678,178
-1,208,320
-64% -$19.9M ﹤0.01% 1024
2020
Q1
$24.6M Buy
1,886,498
+1,587,797
+532% +$20.7M 0.01% 573
2019
Q4
$11.2M Sell
298,701
-2,567,949
-90% -$96.5M ﹤0.01% 1107
2019
Q3
$84.6M Buy
2,866,650
+673,920
+31% +$19.9M 0.04% 249
2019
Q2
$121M Buy
2,192,730
+496,593
+29% +$27.4M 0.06% 161
2019
Q1
$109M Buy
1,696,137
+686,192
+68% +$44.1M 0.05% 158
2018
Q4
$53.7M Buy
1,009,945
+810,523
+406% +$43.1M 0.03% 295
2018
Q3
$18.7M Sell
199,422
-1,158,636
-85% -$108M 0.01% 786
2018
Q2
$109M Buy
1,358,058
+186,647
+16% +$15M 0.05% 171
2018
Q1
$102M Buy
1,171,411
+579,756
+98% +$50.4M 0.06% 161
2017
Q4
$48.6M Sell
591,655
-1,033,074
-64% -$84.8M 0.03% 364
2017
Q3
$121M Sell
1,624,729
-489,324
-23% -$36.4M 0.09% 119
2017
Q2
$140M Buy
+2,114,053
New +$140M 0.12% 83