Monetary Management Group’s McKesson MCK Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$73.3K Hold
100
0.02% 235
2025
Q1
$67.3K Hold
100
0.02% 242
2024
Q4
$57K Hold
100
0.01% 250
2024
Q3
$49.4K Buy
+100
New +$49.4K 0.01% 256
2024
Q2
Sell
-100
Closed -$53.7K 324
2024
Q1
$53.7K Hold
100
0.02% 253
2023
Q4
$46.3K Hold
100
0.01% 252
2023
Q3
$43.5K Hold
100
0.01% 251
2023
Q2
$42.7K Hold
100
0.01% 257
2023
Q1
$35.6K Hold
100
0.01% 269
2022
Q4
$37.5K Hold
100
0.01% 270
2022
Q3
$34K Hold
100
0.01% 280
2022
Q2
$33K Hold
100
0.01% 280
2022
Q1
$31K Hold
100
0.01% 291
2021
Q4
$25K Hold
100
0.01% 312
2021
Q3
$20K Hold
100
0.01% 308
2021
Q2
$19K Hold
100
0.01% 294
2021
Q1
$20K Hold
100
0.01% 286
2020
Q4
$17K Hold
100
0.01% 286
2020
Q3
$15K Hold
100
0.01% 275
2020
Q2
$15K Hold
100
0.01% 270
2020
Q1
$14K Hold
100
0.01% 251
2019
Q4
$14K Sell
100
-250
-71% -$35K 0.01% 285
2019
Q3
$48K Hold
350
0.02% 228
2019
Q2
$47K Hold
350
0.02% 230
2019
Q1
$41K Hold
350
0.02% 239
2018
Q4
$39K Sell
350
-125
-26% -$13.9K 0.02% 233
2018
Q3
$63K Hold
475
0.02% 228
2018
Q2
$63K Hold
475
0.03% 231
2018
Q1
$67K Hold
475
0.03% 220
2017
Q4
$74K Sell
475
-250
-34% -$38.9K 0.03% 214
2017
Q3
$111K Sell
725
-7,724
-91% -$1.18M 0.05% 185
2017
Q2
$1.39M Sell
8,449
-3,895
-32% -$641K 0.57% 56
2017
Q1
$1.83M Buy
12,344
+3,800
+44% +$563K 0.8% 44
2016
Q4
$1.2M Buy
8,544
+100
+1% +$14K 0.55% 59
2016
Q3
$1.41M Hold
8,444
0.65% 53
2016
Q2
$1.58M Sell
8,444
-615
-7% -$115K 0.73% 50
2016
Q1
$1.43M Sell
9,059
-900
-9% -$142K 0.69% 53
2015
Q4
$1.96M Buy
9,959
+7,219
+263% +$1.42M 0.94% 38
2015
Q3
$507K Buy
2,740
+450
+20% +$83.3K 0.25% 89
2015
Q2
$515K Hold
2,290
0.23% 98
2015
Q1
$518K Buy
2,290
+100
+5% +$22.6K 0.23% 95
2014
Q4
$455K Hold
2,190
0.2% 100
2014
Q3
$426K Buy
2,190
+250
+13% +$48.6K 0.2% 108
2014
Q2
$361K Buy
1,940
+290
+18% +$54K 0.17% 114
2014
Q1
$291K Hold
1,650
0.14% 126
2013
Q4
$266K Buy
1,650
+200
+14% +$32.2K 0.12% 136
2013
Q3
$186K Hold
1,450
0.1% 151
2013
Q2
$166K Buy
+1,450
New +$166K 0.09% 169