LSV Asset Management
DXC icon

LSV Asset Management’s DXC Technology DXC Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$62.1M Sell
4,060,898
-90,500
-2% -$1.38M 0.15% 182
2025
Q1
$70.8M Buy
4,151,398
+769,026
+23% +$13.1M 0.17% 156
2024
Q4
$67.6M Buy
3,382,372
+31,263
+0.9% +$625K 0.16% 168
2024
Q3
$69.5M Sell
3,351,109
-85,019
-2% -$1.76M 0.15% 173
2024
Q2
$65.6M Buy
3,436,128
+26,186
+0.8% +$500K 0.14% 185
2024
Q1
$72.3M Sell
3,409,942
-24,846
-0.7% -$527K 0.15% 181
2023
Q4
$78.6M Sell
3,434,788
-118,539
-3% -$2.71M 0.17% 170
2023
Q3
$74M Buy
3,553,327
+25,579
+0.7% +$533K 0.17% 170
2023
Q2
$94.3M Buy
3,527,748
+111,825
+3% +$2.99M 0.21% 148
2023
Q1
$87.3M Buy
3,415,923
+18,655
+0.5% +$477K 0.2% 154
2022
Q4
$90M Buy
3,397,268
+55,270
+2% +$1.46M 0.2% 157
2022
Q3
$81.8M Buy
3,341,998
+5,818
+0.2% +$142K 0.19% 154
2022
Q2
$101M Sell
3,336,180
-153,328
-4% -$4.65M 0.22% 136
2022
Q1
$114M Buy
3,489,508
+10,482
+0.3% +$342K 0.21% 147
2021
Q4
$112M Sell
3,479,026
-113,450
-3% -$3.65M 0.2% 153
2021
Q3
$121M Sell
3,592,476
-10,842
-0.3% -$364K 0.22% 138
2021
Q2
$140M Buy
3,603,318
+197,730
+6% +$7.7M 0.24% 134
2021
Q1
$106M Sell
3,405,588
-134,591
-4% -$4.21M 0.18% 160
2020
Q4
$91.2M Sell
3,540,179
-301,515
-8% -$7.76M 0.17% 163
2020
Q3
$68.6M Buy
3,841,694
+540,845
+16% +$9.65M 0.14% 180
2020
Q2
$54.5M Buy
3,300,849
+634,692
+24% +$10.5M 0.11% 209
2020
Q1
$34.8M Sell
2,666,157
-102,345
-4% -$1.34M 0.08% 239
2019
Q4
$104M Sell
2,768,502
-30,339
-1% -$1.14M 0.16% 166
2019
Q3
$82.6M Sell
2,798,841
-66,210
-2% -$1.95M 0.14% 188
2019
Q2
$158M Buy
2,865,051
+491,315
+21% +$27.1M 0.25% 115
2019
Q1
$153M Buy
2,373,736
+381,967
+19% +$24.6M 0.24% 117
2018
Q4
$106M Buy
1,991,769
+615,849
+45% +$32.7M 0.19% 150
2018
Q3
$129M Buy
1,375,920
+389,592
+39% +$36.4M 0.19% 147
2018
Q2
$79.5M Buy
986,328
+165,824
+20% +$13.4M 0.12% 197
2018
Q1
$82.5M Buy
820,504
+7,083
+0.9% +$712K 0.13% 183
2017
Q4
$77.2M Sell
813,421
-25,153
-3% -$2.39M 0.12% 189
2017
Q3
$72M Sell
838,574
-7,453
-0.9% -$640K 0.12% 200
2017
Q2
$64.9M Buy
+846,027
New +$64.9M 0.12% 192