People's United Financial’s Medtronic MDT Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q1
$6.15M Sell
55,389
-6,403
-10% -$710K 0.18% 136
2021
Q4
$6.39M Sell
61,792
-5,602
-8% -$579K 0.15% 136
2021
Q3
$8.45M Sell
67,394
-62
-0.1% -$7.77K 0.19% 125
2021
Q2
$8.37M Sell
67,456
-2,664
-4% -$331K 0.19% 121
2021
Q1
$8.28M Sell
70,120
-1,868
-3% -$221K 0.2% 111
2020
Q4
$8.43M Sell
71,988
-5,431
-7% -$636K 0.21% 109
2020
Q3
$8.05M Sell
77,419
-33,203
-30% -$3.45M 0.22% 102
2020
Q2
$10.1M Sell
110,622
-51,443
-32% -$4.72M 0.3% 90
2020
Q1
$14.6M Sell
162,065
-552
-0.3% -$49.8K 0.51% 64
2019
Q4
$18.4M Sell
162,617
-3,579
-2% -$406K 0.5% 55
2019
Q3
$18.1M Sell
166,196
-14,236
-8% -$1.55M 0.51% 52
2019
Q2
$17.6M Sell
180,432
-39,036
-18% -$3.8M 0.48% 55
2019
Q1
$20M Sell
219,468
-217
-0.1% -$19.8K 0.62% 41
2018
Q4
$20M Sell
219,685
-2,591
-1% -$236K 0.69% 37
2018
Q3
$21.9M Sell
222,276
-3,376
-1% -$332K 0.68% 36
2018
Q2
$19.3M Sell
225,652
-5,900
-3% -$505K 0.5% 46
2018
Q1
$18.6M Sell
231,552
-6,681
-3% -$536K 0.59% 43
2017
Q4
$19.2M Sell
238,233
-12,210
-5% -$986K 0.6% 41
2017
Q3
$19.5M Buy
250,443
+1,437
+0.6% +$112K 0.65% 42
2017
Q2
$22.1M Buy
249,006
+1,974
+0.8% +$175K 0.75% 32
2017
Q1
$19.9M Sell
247,032
-5,713
-2% -$460K 0.69% 35
2016
Q4
$18M Buy
252,745
+32,389
+15% +$2.31M 0.67% 41
2016
Q3
$19M Buy
220,356
+14,514
+7% +$1.25M 1% 23
2016
Q2
$17.9M Buy
205,842
+33,880
+20% +$2.94M 0.96% 25
2016
Q1
$12.9M Buy
171,962
+145,911
+560% +$10.9M 0.68% 43
2015
Q4
$2M Sell
26,051
-974
-4% -$74.9K 0.11% 165
2015
Q3
$1.81M Buy
27,025
+1,638
+6% +$110K 0.1% 174
2015
Q2
$1.88M Buy
25,387
+9,471
+60% +$702K 0.1% 181
2015
Q1
$1.24M Sell
15,916
-5,796
-27% -$452K 0.06% 232
2014
Q4
$1.57M Sell
21,712
-1,009
-4% -$72.8K 0.08% 196
2014
Q3
$1.41M Buy
22,721
+1,180
+5% +$73.1K 0.07% 203
2014
Q2
$1.37M Sell
21,541
-1,443
-6% -$92K 0.07% 212
2014
Q1
$1.42M Sell
22,984
-1,033
-4% -$63.6K 0.08% 178
2013
Q4
$1.38M Sell
24,017
-2,639
-10% -$151K 0.08% 177
2013
Q3
$1.42M Buy
26,656
+1,698
+7% +$90.4K 0.09% 159
2013
Q2
$1.29M Buy
+24,958
New +$1.29M 0.08% 153