New York State Common Retirement Fund
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New York State Common Retirement Fund’s Boston Scientific BSX Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$224M Sell
2,083,334
-20,594
-1% -$2.21M 0.3% 57
2025
Q1
$212M Sell
2,103,928
-33,043
-2% -$3.33M 0.31% 53
2024
Q4
$191M Sell
2,136,971
-3,597
-0.2% -$321K 0.26% 71
2024
Q3
$179M Sell
2,140,568
-108,241
-5% -$9.07M 0.24% 77
2024
Q2
$173M Sell
2,248,809
-13,459
-0.6% -$1.04M 0.23% 81
2024
Q1
$155M Sell
2,262,268
-276,007
-11% -$18.9M 0.2% 92
2023
Q4
$147M Sell
2,538,275
-122,525
-5% -$7.08M 0.2% 100
2023
Q3
$140M Sell
2,660,800
-83,338
-3% -$4.4M 0.2% 101
2023
Q2
$148M Sell
2,744,138
-9,063
-0.3% -$490K 0.19% 105
2023
Q1
$138M Sell
2,753,201
-117,687
-4% -$5.89M 0.18% 111
2022
Q4
$133M Sell
2,870,888
-3,669
-0.1% -$170K 0.18% 113
2022
Q3
$111M Sell
2,874,557
-30,065
-1% -$1.16M 0.16% 124
2022
Q2
$108M Sell
2,904,622
-78,973
-3% -$2.94M 0.14% 142
2022
Q1
$132M Sell
2,983,595
-36,681
-1% -$1.62M 0.14% 135
2021
Q4
$128M Sell
3,020,276
-33,475
-1% -$1.42M 0.13% 143
2021
Q3
$133M Sell
3,053,751
-115,825
-4% -$5.03M 0.14% 132
2021
Q2
$136M Buy
3,169,576
+24,385
+0.8% +$1.04M 0.14% 137
2021
Q1
$122M Sell
3,145,191
-6,237
-0.2% -$241K 0.13% 144
2020
Q4
$113M Sell
3,151,428
-41,889
-1% -$1.51M 0.13% 158
2020
Q3
$122M Buy
3,193,317
+58,917
+2% +$2.25M 0.15% 135
2020
Q2
$110M Sell
3,134,400
-106,887
-3% -$3.75M 0.14% 142
2020
Q1
$106M Sell
3,241,287
-67,429
-2% -$2.2M 0.16% 130
2019
Q4
$150M Sell
3,308,716
-62,414
-2% -$2.82M 0.18% 107
2019
Q3
$137M Buy
3,371,130
+34,600
+1% +$1.41M 0.17% 114
2019
Q2
$143M Sell
3,336,530
-80,794
-2% -$3.47M 0.18% 105
2019
Q1
$131M Buy
3,417,324
+6,700
+0.2% +$257K 0.17% 115
2018
Q4
$121M Sell
3,410,624
-182,000
-5% -$6.43M 0.17% 116
2018
Q3
$138M Sell
3,592,624
-43,000
-1% -$1.66M 0.16% 120
2018
Q2
$119M Sell
3,635,624
-103,200
-3% -$3.37M 0.15% 134
2018
Q1
$102M Sell
3,738,824
-108,724
-3% -$2.97M 0.13% 162
2017
Q4
$95.4M Sell
3,847,548
-83,917
-2% -$2.08M 0.11% 182
2017
Q3
$115M Sell
3,931,465
-55,207
-1% -$1.61M 0.15% 144
2017
Q2
$111M Sell
3,986,672
-38,241
-1% -$1.06M 0.15% 146
2017
Q1
$100M Buy
4,024,913
+4,985
+0.1% +$124K 0.13% 153
2016
Q4
$87M Sell
4,019,928
-75,477
-2% -$1.63M 0.12% 170
2016
Q3
$97.5M Buy
4,095,405
+185,964
+5% +$4.43M 0.14% 153
2016
Q2
$91.4M Buy
3,909,441
+181,123
+5% +$4.23M 0.13% 155
2016
Q1
$70.1M Buy
3,728,318
+21,960
+0.6% +$413K 0.11% 185
2015
Q4
$68.3M Buy
3,706,358
+457,183
+14% +$8.43M 0.11% 193
2015
Q3
$53.3M Sell
3,249,175
-153,084
-4% -$2.51M 0.08% 236
2015
Q2
$60.2M Sell
3,402,259
-455,876
-12% -$8.07M 0.09% 225
2015
Q1
$68.5M Sell
3,858,135
-45,047
-1% -$800K 0.1% 214
2014
Q4
$51.7M Sell
3,903,182
-304,789
-7% -$4.04M 0.08% 280
2014
Q3
$49.7M Buy
4,207,971
+39,233
+0.9% +$463K 0.07% 283
2014
Q2
$53.2M Buy
4,168,738
+294,328
+8% +$3.76M 0.08% 262
2014
Q1
$52.4M Sell
3,874,410
-50,325
-1% -$680K 0.08% 262
2013
Q4
$47.2M Sell
3,924,735
-76,900
-2% -$924K 0.07% 286
2013
Q3
$47M Sell
4,001,635
-238,475
-6% -$2.8M 0.08% 275
2013
Q2
$39.3M Buy
+4,240,110
New +$39.3M 0.07% 323