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Parametric Portfolio Associates’s Boston Scientific BSX Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q1
$195M Buy
4,399,316
+560,736
+15% +$24.8M 0.1% 188
2021
Q4
$163M Sell
3,838,580
-194,403
-5% -$8.26M 0.08% 218
2021
Q3
$175M Buy
4,032,983
+261,630
+7% +$11.4M 0.1% 191
2021
Q2
$161M Buy
3,771,353
+122,075
+3% +$5.22M 0.09% 212
2021
Q1
$141M Sell
3,649,278
-60,627
-2% -$2.34M 0.08% 223
2020
Q4
$133M Sell
3,709,905
-700,270
-16% -$25.2M 0.08% 212
2020
Q3
$169M Buy
4,410,175
+240,597
+6% +$9.19M 0.12% 146
2020
Q2
$146M Buy
4,169,578
+365,782
+10% +$12.8M 0.11% 160
2020
Q1
$124M Sell
3,803,796
-310,880
-8% -$10.1M 0.11% 160
2019
Q4
$186M Sell
4,114,676
-27,732
-0.7% -$1.25M 0.14% 138
2019
Q3
$169M Buy
4,142,408
+134,004
+3% +$5.45M 0.14% 140
2019
Q2
$172M Buy
4,008,404
+184,610
+5% +$7.93M 0.14% 124
2019
Q1
$147M Buy
3,823,794
+48,108
+1% +$1.85M 0.13% 147
2018
Q4
$133M Buy
3,775,686
+233,182
+7% +$8.24M 0.13% 138
2018
Q3
$136M Buy
3,542,504
+47,491
+1% +$1.83M 0.12% 164
2018
Q2
$114M Buy
3,495,013
+176,637
+5% +$5.78M 0.11% 180
2018
Q1
$90.7M Buy
3,318,376
+440,587
+15% +$12M 0.09% 219
2017
Q4
$71.3M Sell
2,877,789
-69,643
-2% -$1.73M 0.07% 271
2017
Q3
$86M Buy
2,947,432
+314,917
+12% +$9.19M 0.09% 213
2017
Q2
$73M Buy
2,632,515
+637,437
+32% +$17.7M 0.09% 224
2017
Q1
$49.6M Sell
1,995,078
-322,256
-14% -$8.01M 0.08% 240
2016
Q4
$50.1M Sell
2,317,334
-348,297
-13% -$7.53M 0.07% 281
2016
Q3
$63.4M Buy
2,665,631
+27,605
+1% +$657K 0.1% 217
2016
Q2
$61.7M Buy
2,638,026
+563,606
+27% +$13.2M 0.1% 207
2016
Q1
$39M Buy
2,074,420
+151,974
+8% +$2.86M 0.06% 310
2015
Q4
$35.5M Buy
1,922,446
+85,272
+5% +$1.57M 0.06% 322
2015
Q3
$30.1M Sell
1,837,174
-10,393
-0.6% -$171K 0.06% 354
2015
Q2
$32.7M Sell
1,847,567
-134,213
-7% -$2.38M 0.06% 306
2015
Q1
$35.2M Sell
1,981,780
-290,568
-13% -$5.16M 0.07% 287
2014
Q4
$30.1M Sell
2,272,348
-474,624
-17% -$6.29M 0.06% 321
2014
Q3
$32.4M Sell
2,746,972
-381,057
-12% -$4.5M 0.07% 287
2014
Q2
$39.9M Buy
3,128,029
+22,223
+0.7% +$284K 0.09% 236
2014
Q1
$42M Buy
3,105,806
+124,135
+4% +$1.68M 0.1% 220
2013
Q4
$35.8M Buy
2,981,671
+478,875
+19% +$5.76M 0.09% 238
2013
Q3
$29.4M Buy
2,502,796
+283,244
+13% +$3.33M 0.08% 260
2013
Q2
$20.6M Buy
+2,219,552
New +$20.6M 0.06% 347