PSUF
MCD icon

People's United Financial’s McDonald's MCD Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q1
$62.5M Sell
252,778
-16,035
-6% -$3.97M 1.78% 8
2021
Q4
$72.1M Sell
268,813
-11,299
-4% -$3.03M 1.73% 8
2021
Q3
$67.5M Sell
280,112
-3,517
-1% -$848K 1.51% 10
2021
Q2
$65.5M Sell
283,629
-5,706
-2% -$1.32M 1.47% 10
2021
Q1
$64.9M Sell
289,335
-19,378
-6% -$4.34M 1.55% 9
2020
Q4
$66.2M Buy
308,713
+9,515
+3% +$2.04M 1.64% 9
2020
Q3
$65.7M Sell
299,198
-12,276
-4% -$2.69M 1.83% 7
2020
Q2
$57.5M Sell
311,474
-2,112
-0.7% -$390K 1.68% 7
2020
Q1
$51.9M Sell
313,586
-4,589
-1% -$759K 1.8% 8
2019
Q4
$62.9M Buy
318,175
+4,432
+1% +$876K 1.72% 9
2019
Q3
$67.4M Sell
313,743
-14,622
-4% -$3.14M 1.92% 8
2019
Q2
$68.2M Sell
328,365
-18,055
-5% -$3.75M 1.87% 8
2019
Q1
$65.8M Sell
346,420
-5,861
-2% -$1.11M 2.04% 5
2018
Q4
$62.6M Sell
352,281
-498,410
-59% -$88.5M 2.17% 5
2018
Q3
$142M Sell
850,691
-15,730
-2% -$2.63M 4.4% 1
2018
Q2
$136M Buy
866,421
+1,170
+0.1% +$183K 3.49% 1
2018
Q1
$135M Buy
865,251
+145,022
+20% +$22.7M 4.29% 1
2017
Q4
$124M Sell
720,229
-25,426
-3% -$4.38M 3.87% 1
2017
Q3
$117M Buy
745,655
+923
+0.1% +$145K 3.91% 1
2017
Q2
$114M Sell
744,732
-69,870
-9% -$10.7M 3.87% 1
2017
Q1
$106M Buy
814,602
+73,015
+10% +$9.46M 3.68% 1
2016
Q4
$90.3M Buy
741,587
+2,353
+0.3% +$286K 3.34% 1
2016
Q3
$85.3M Buy
739,234
+174
+0% +$20.1K 4.49% 1
2016
Q2
$88.9M Sell
739,060
-42,440
-5% -$5.11M 4.77% 1
2016
Q1
$98.2M Sell
781,500
-14,192
-2% -$1.78M 5.2% 1
2015
Q4
$94M Buy
795,692
+73,992
+10% +$8.74M 4.98% 1
2015
Q3
$71.1M Sell
721,700
-20,767
-3% -$2.05M 4.03% 1
2015
Q2
$70.6M Sell
742,467
-6,169
-0.8% -$586K 3.72% 1
2015
Q1
$72.9M Buy
748,636
+3,928
+0.5% +$383K 3.7% 1
2014
Q4
$69.8M Buy
744,708
+140,801
+23% +$13.2M 3.56% 1
2014
Q3
$57.3M Sell
603,907
-7,138
-1% -$677K 3.04% 1
2014
Q2
$61.6M Buy
611,045
+11,547
+2% +$1.16M 3.28% 1
2014
Q1
$58.8M Sell
599,498
-270,225
-31% -$26.5M 3.52% 1
2013
Q4
$84.4M Buy
869,723
+29,770
+4% +$2.89M 4.84% 1
2013
Q3
$80.8M Buy
839,953
+894
+0.1% +$86K 5.13% 1
2013
Q2
$83.1M Buy
+839,059
New +$83.1M 5.4% 1