Lord, Abbett & Co’s McKesson MCK Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$54.6M Sell
74,573
-9,374
-11% -$6.87M 0.18% 147
2025
Q1
$56.5M Buy
83,947
+946
+1% +$637K 0.2% 138
2024
Q4
$47.3M Sell
83,001
-116,135
-58% -$66.2M 0.15% 177
2024
Q3
$98.5M Buy
199,136
+111,808
+128% +$55.3M 0.31% 89
2024
Q2
$51M Buy
87,328
+4,272
+5% +$2.5M 0.17% 160
2024
Q1
$44.6M Buy
83,056
+1,689
+2% +$907K 0.14% 196
2023
Q4
$37.7M Sell
81,367
-10,131
-11% -$4.69M 0.13% 212
2023
Q3
$39.8M Sell
91,498
-940
-1% -$409K 0.15% 195
2023
Q2
$39.5M Sell
92,438
-983
-1% -$420K 0.14% 217
2023
Q1
$33.3M Sell
93,421
-23,185
-20% -$8.26M 0.12% 254
2022
Q4
$43.7M Sell
116,606
-18,548
-14% -$6.96M 0.16% 196
2022
Q3
$45.9M Buy
135,154
+7,681
+6% +$2.61M 0.17% 165
2022
Q2
$41.6M Sell
127,473
-3,417
-3% -$1.11M 0.15% 198
2022
Q1
$40.1M Sell
130,890
-103,355
-44% -$31.6M 0.11% 256
2021
Q4
$58.2M Sell
234,245
-19,532
-8% -$4.86M 0.13% 226
2021
Q3
$50.6M Sell
253,777
-9,614
-4% -$1.92M 0.12% 259
2021
Q2
$50.4M Sell
263,391
-25,967
-9% -$4.97M 0.12% 256
2021
Q1
$56.4M Buy
289,358
+12,323
+4% +$2.4M 0.14% 222
2020
Q4
$48.2M Buy
277,035
+21,620
+8% +$3.76M 0.13% 252
2020
Q3
$38M Sell
255,415
-41,034
-14% -$6.11M 0.12% 261
2020
Q2
$45.5M Buy
296,449
+41,358
+16% +$6.34M 0.16% 208
2020
Q1
$34.5M Buy
255,091
+22,205
+10% +$3M 0.15% 208
2019
Q4
$32.2M Sell
232,886
-76,446
-25% -$10.6M 0.11% 295
2019
Q3
$42.3M Buy
309,332
+2,081
+0.7% +$284K 0.14% 237
2019
Q2
$41.3M Buy
+307,251
New +$41.3M 0.13% 262
2015
Q3
Sell
-85,963
Closed -$19.3M 940
2015
Q2
$19.3M Sell
85,963
-313,640
-78% -$70.5M 0.05% 493
2015
Q1
$90.4M Sell
399,603
-775,679
-66% -$175M 0.23% 108
2014
Q4
$244M Buy
1,175,282
+217,856
+23% +$45.2M 0.62% 22
2014
Q3
$186M Buy
957,426
+5,342
+0.6% +$1.04M 0.47% 39
2014
Q2
$177M Sell
952,084
-58,524
-6% -$10.9M 0.4% 55
2014
Q1
$178M Buy
1,010,608
+903,204
+841% +$159M 0.41% 51
2013
Q4
$17.3M Sell
107,404
-12,409
-10% -$2M 0.04% 562
2013
Q3
$15M Sell
119,813
-516,504
-81% -$64.6M 0.03% 572
2013
Q2
$72.9M Buy
+636,317
New +$72.9M 0.17% 160