Mirae Asset Global Investments
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Mirae Asset Global Investments’s Boston Scientific BSX Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$26M Buy
242,492
+26,775
+12% +$2.88M 0.09% 178
2025
Q1
$21.5M Buy
215,717
+34,404
+19% +$3.42M 0.09% 180
2024
Q4
$16.4M Buy
181,313
+14,586
+9% +$1.32M 0.07% 211
2024
Q3
$13.9M Sell
166,727
-14,324
-8% -$1.19M 0.06% 222
2024
Q2
$13.9M Sell
181,051
-417,859
-70% -$32.2M 0.07% 202
2024
Q1
$34.3M Sell
598,910
-14,336
-2% -$821K 0.07% 249
2023
Q4
$35.2M Sell
613,246
-69,715
-10% -$4M 0.07% 271
2023
Q3
$36.1M Sell
682,961
-783,143
-53% -$41.4M 0.08% 250
2023
Q2
$78.7M Sell
1,466,104
-176,117
-11% -$9.45M 0.17% 125
2023
Q1
$81.8M Buy
1,642,221
+224,525
+16% +$11.2M 0.19% 109
2022
Q4
$65.7M Sell
1,417,696
-430,545
-23% -$19.9M 0.17% 134
2022
Q3
$72.4M Sell
1,848,241
-68,145
-4% -$2.67M 0.19% 113
2022
Q2
$71.4M Buy
1,916,386
+136,661
+8% +$5.09M 0.18% 122
2022
Q1
$78.8M Buy
1,779,725
+14,447
+0.8% +$640K 0.17% 136
2021
Q4
$75.6M Sell
1,765,278
-584,046
-25% -$25M 0.16% 137
2021
Q3
$102M Buy
2,349,324
+867,003
+58% +$37.6M 0.26% 84
2021
Q2
$63.4M Buy
1,482,321
+170,261
+13% +$7.28M 0.18% 137
2021
Q1
$50.7M Sell
1,312,060
-170,239
-11% -$6.58M 0.18% 152
2020
Q4
$53.3M Buy
1,482,299
+488,046
+49% +$17.5M 0.2% 122
2020
Q3
$37.9M Buy
994,253
+156,751
+19% +$5.97M 0.19% 117
2020
Q2
$29.4M Sell
837,502
-353,708
-30% -$12.4M 0.18% 140
2020
Q1
$38.9M Buy
1,191,210
+263,523
+28% +$8.6M 0.3% 64
2019
Q4
$42M Buy
927,687
+26,358
+3% +$1.19M 0.26% 82
2019
Q3
$36.7M Buy
901,329
+572,333
+174% +$23.3M 0.26% 90
2019
Q2
$14.1M Buy
328,996
+57,771
+21% +$2.47M 0.1% 235
2019
Q1
$10.4M Sell
271,225
-20,140
-7% -$773K 0.08% 246
2018
Q4
$10.3M Sell
291,365
-20,806
-7% -$735K 0.09% 225
2018
Q3
$12M Buy
312,171
+125,986
+68% +$4.85M 0.09% 226
2018
Q2
$6.09M Sell
186,185
-41
-0% -$1.34K 0.08% 156
2018
Q1
$5.09M Buy
186,226
+88,259
+90% +$2.41M 0.07% 184
2017
Q4
$2.43M Sell
97,967
-1,271
-1% -$31.5K 0.03% 323
2017
Q3
$2.89M Sell
99,238
-33,648
-25% -$981K 0.05% 269
2017
Q2
$3.68M Sell
132,886
-31,595
-19% -$876K 0.06% 194
2017
Q1
$4.09M Sell
164,481
-7,938
-5% -$197K 0.08% 167
2016
Q4
$3.73M Buy
172,419
+15,320
+10% +$331K 0.08% 171
2016
Q3
$3.74M Buy
157,099
+21,814
+16% +$519K 0.08% 168
2016
Q2
$3.16M Buy
135,285
+31,721
+31% +$741K 0.08% 173
2016
Q1
$1.95M Sell
103,564
-1,708
-2% -$32.1K 0.05% 221
2015
Q4
$1.94M Sell
105,272
-193
-0.2% -$3.56K 0.06% 222
2015
Q3
$1.73M Buy
105,465
+2,648
+3% +$43.5K 0.07% 219
2015
Q2
$1.82M Sell
102,817
-11,413
-10% -$202K 0.06% 220
2015
Q1
$2.03M Buy
114,230
+21,637
+23% +$384K 0.07% 201
2014
Q4
$1.23M Buy
+92,593
New +$1.23M 0.04% 237