Pictet Asset Management (UK)’s Boston Scientific BSX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q2
$175M Buy
4,094,884
+57,138
+1% +$2.44M 0.19% 154
2021
Q1
$156M Buy
4,037,746
+299,367
+8% +$11.6M 0.19% 152
2020
Q4
$134M Sell
3,738,379
-100,758
-3% -$3.62M 0.18% 157
2020
Q3
$147M Buy
3,839,137
+89,477
+2% +$3.42M 0.23% 130
2020
Q2
$132M Buy
3,749,660
+229,353
+7% +$8.05M 0.23% 133
2020
Q1
$115M Buy
3,520,307
+231,108
+7% +$7.54M 0.25% 119
2019
Q4
$149M Buy
3,289,199
+202,850
+7% +$9.17M 0.26% 112
2019
Q3
$126M Buy
3,086,349
+22,781
+0.7% +$927K 0.26% 108
2019
Q2
$132M Buy
3,063,568
+655,860
+27% +$28.2M 0.28% 109
2019
Q1
$92.4M Buy
2,407,708
+622,297
+35% +$23.9M 0.2% 140
2018
Q4
$63.1K Buy
1,785,411
+15,150
+0.9% +$535 0.16% 181
2018
Q3
$68.2M Sell
1,770,261
-138,405
-7% -$5.33M 0.14% 198
2018
Q2
$62.4M Buy
1,908,666
+93,454
+5% +$3.06M 0.15% 191
2018
Q1
$49.6M Buy
1,815,212
+328,436
+22% +$8.97M 0.12% 233
2017
Q4
$36.9M Buy
1,486,776
+251,876
+20% +$6.24M 0.09% 265
2017
Q3
$36M Sell
1,234,900
-40,875
-3% -$1.19M 0.1% 259
2017
Q2
$34.5M Buy
1,275,775
+56,098
+5% +$1.52M 0.11% 248
2017
Q1
$30.3M Buy
1,219,677
+18,900
+2% +$470K 0.1% 265
2016
Q4
$26M Sell
1,200,777
-409,240
-25% -$8.85M 0.1% 265
2016
Q3
$38.3M Buy
1,610,017
+185,330
+13% +$4.41M 0.14% 197
2016
Q2
$32.4M Sell
1,424,687
-38,815
-3% -$881K 0.13% 218
2016
Q1
$24.9M Buy
1,463,502
+122,707
+9% +$2.08M 0.11% 219
2015
Q4
$24.7M Buy
1,340,795
+598,201
+81% +$11M 0.1% 246
2015
Q3
$12.2M Buy
742,594
+6,200
+0.8% +$102K 0.05% 359
2015
Q2
$12.8M Sell
736,394
-3,500
-0.5% -$60.7K 0.05% 376
2015
Q1
$13.2M Sell
739,894
-10,600
-1% -$189K 0.05% 373
2014
Q4
$9.94M Buy
750,494
+26,786
+4% +$355K 0.04% 408
2014
Q3
$8.55M Sell
723,708
-11,500
-2% -$136K 0.04% 413
2014
Q2
$9.39M Buy
735,208
+10,000
+1% +$128K 0.04% 394
2014
Q1
$9.81M Sell
725,208
-11,900
-2% -$161K 0.05% 371
2013
Q4
$8.86M Sell
737,108
-7,800
-1% -$93.8K 0.05% 383
2013
Q3
$8.75M Buy
744,908
+21,500
+3% +$252K 0.05% 357
2013
Q2
$6.71M Buy
+723,408
New +$6.71M 0.04% 412