MCM
IYH icon

Murphy Capital Management’s iShares US Healthcare ETF IYH Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q2
$8.14M Sell
30,276
-409
-1% -$110K 1.13% 24
2022
Q1
$8.86M Sell
30,685
-457
-1% -$132K 1.03% 26
2021
Q4
$9.35M Sell
31,142
-308
-1% -$92.5K 1% 27
2021
Q3
$8.68M Sell
31,450
-313
-1% -$86.4K 1.01% 28
2021
Q2
$8.67M Sell
31,763
-365
-1% -$99.6K 0.99% 27
2021
Q1
$8.11M Sell
32,128
-228
-0.7% -$57.6K 1.02% 27
2020
Q4
$7.96M Sell
32,356
-191
-0.6% -$47K 1.06% 26
2020
Q3
$7.39M Sell
32,547
-275
-0.8% -$62.5K 1.07% 26
2020
Q2
$7.08M Sell
32,822
-422
-1% -$91K 1.12% 24
2020
Q1
$6.24M Sell
33,244
-1,713
-5% -$322K 1.18% 26
2019
Q4
$7.54M Sell
34,957
-275
-0.8% -$59.3K 1.07% 28
2019
Q3
$6.66M Sell
35,232
-790
-2% -$149K 1% 32
2019
Q2
$7.03M Sell
36,022
-960
-3% -$187K 1.05% 29
2019
Q1
$7.17M Sell
36,982
-4,410
-11% -$855K 1.09% 27
2018
Q4
$7.48M Sell
41,392
-1,360
-3% -$246K 1.26% 26
2018
Q3
$8.67M Sell
42,752
-1,007
-2% -$204K 1.2% 24
2018
Q2
$7.8M Sell
43,759
-930
-2% -$166K 1.13% 24
2018
Q1
$7.71M Sell
44,689
-633
-1% -$109K 1.09% 25
2017
Q4
$7.9M Sell
45,322
-615
-1% -$107K 1.08% 27
2017
Q3
$7.89M Sell
45,937
-555
-1% -$95.4K 1.13% 26
2017
Q2
$7.73M Sell
46,492
-935
-2% -$155K 1.14% 26
2017
Q1
$7.38M Sell
47,427
-570
-1% -$88.7K 1.1% 26
2016
Q4
$6.92M Sell
47,997
-1,735
-3% -$250K 1.09% 26
2016
Q3
$7.47M Sell
49,732
-995
-2% -$149K 1.16% 21
2016
Q2
$7.52M Sell
50,727
-2,565
-5% -$380K 1.16% 23
2016
Q1
$7.49M Sell
53,292
-2,226
-4% -$313K 1.17% 21
2015
Q4
$8.33M Sell
55,518
-1,118
-2% -$168K 1.27% 20
2015
Q3
$7.92M Sell
56,636
-1,352
-2% -$189K 1.31% 18
2015
Q2
$9.2M Sell
57,988
-245
-0.4% -$38.9K 1.38% 14
2015
Q1
$8.99M Sell
58,233
-144
-0.2% -$22.2K 1.33% 16
2014
Q4
$8.41M Sell
58,377
-5
-0% -$721 1.28% 14
2014
Q3
$7.84M Buy
58,382
+805
+1% +$108K 1.22% 15
2014
Q2
$7.38M Sell
57,577
-109
-0.2% -$14K 1.17% 17
2014
Q1
$7.1M Sell
57,686
-968
-2% -$119K 1.19% 16
2013
Q4
$6.83M Sell
58,654
-170
-0.3% -$19.8K 1.19% 17
2013
Q3
$6.29M Buy
58,824
+731
+1% +$78.2K 1.19% 18
2013
Q2
$5.82M Buy
+58,093
New +$5.82M 1.19% 19