Pictet Asset Management (UK)’s Abbott ABT Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q2
$193M Buy
1,666,568
+666
+0% +$77.2K 0.21% 137
2021
Q1
$200M Sell
1,665,902
-14,775
-0.9% -$1.77M 0.24% 125
2020
Q4
$184M Sell
1,680,677
-25,186
-1% -$2.76M 0.24% 126
2020
Q3
$186M Sell
1,705,863
-29,109
-2% -$3.17M 0.29% 104
2020
Q2
$159M Buy
1,734,972
+68,089
+4% +$6.23M 0.27% 112
2020
Q1
$132M Buy
1,666,883
+48,714
+3% +$3.84M 0.28% 102
2019
Q4
$141M Buy
1,618,169
+20,385
+1% +$1.77M 0.25% 121
2019
Q3
$134M Sell
1,597,784
-88,422
-5% -$7.4M 0.28% 102
2019
Q2
$142M Sell
1,686,206
-20,454
-1% -$1.72M 0.31% 102
2019
Q1
$136M Buy
1,706,660
+15,097
+0.9% +$1.21M 0.3% 101
2018
Q4
$122K Buy
1,691,563
+9,321
+0.6% +$674 0.31% 95
2018
Q3
$123M Sell
1,682,242
-64,256
-4% -$4.71M 0.26% 111
2018
Q2
$107M Buy
1,746,498
+107,840
+7% +$6.58M 0.25% 126
2018
Q1
$98.2M Buy
1,638,658
+78,379
+5% +$4.7M 0.24% 131
2017
Q4
$89M Buy
1,560,279
+131,169
+9% +$7.49M 0.23% 135
2017
Q3
$76.3M Sell
1,429,110
-26,454
-2% -$1.41M 0.22% 143
2017
Q2
$66.5M Buy
1,455,564
+143,975
+11% +$6.57M 0.2% 147
2017
Q1
$58.2M Sell
1,311,589
-252,107
-16% -$11.2M 0.19% 156
2016
Q4
$60.1M Buy
1,563,696
+100,094
+7% +$3.84M 0.22% 127
2016
Q3
$61.9M Buy
1,463,602
+144,295
+11% +$6.1M 0.23% 126
2016
Q2
$52.3M Buy
1,319,307
+422,714
+47% +$16.8M 0.2% 135
2016
Q1
$34.7M Buy
896,593
+8,500
+1% +$329K 0.15% 178
2015
Q4
$39.9M Sell
888,093
-50,200
-5% -$2.25M 0.17% 167
2015
Q3
$37.7M Sell
938,293
-10,800
-1% -$434K 0.17% 163
2015
Q2
$48.1M Sell
949,093
-20,500
-2% -$1.04M 0.2% 139
2015
Q1
$45M Buy
969,593
+4,000
+0.4% +$186K 0.19% 143
2014
Q4
$43.5M Buy
965,593
+39,736
+4% +$1.79M 0.19% 139
2014
Q3
$38.5M Sell
925,857
-21,500
-2% -$894K 0.19% 145
2014
Q2
$38.7M Buy
947,357
+14,300
+2% +$585K 0.18% 147
2014
Q1
$35.9M Sell
933,057
-3,700
-0.4% -$142K 0.18% 145
2013
Q4
$35.9M Sell
936,757
-76,500
-8% -$2.93M 0.18% 144
2013
Q3
$33.6M Buy
1,013,257
+25,526
+3% +$847K 0.19% 143
2013
Q2
$34.5M Buy
+987,731
New +$34.5M 0.2% 124