Regions Financial Corp’s Cognizant CTSH Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q2
Sell
-4,630
Closed -$415K 870
2022
Q1
$415K Sell
4,630
-2,027
-30% -$182K ﹤0.01% 664
2021
Q4
$590K Sell
6,657
-449
-6% -$39.8K ﹤0.01% 593
2021
Q3
$527K Sell
7,106
-1,848
-21% -$137K ﹤0.01% 602
2021
Q2
$621K Buy
8,954
+1,554
+21% +$108K 0.01% 561
2021
Q1
$578K Sell
7,400
-1,018
-12% -$79.5K 0.01% 556
2020
Q4
$690K Sell
8,418
-605
-7% -$49.6K 0.01% 509
2020
Q3
$626K Sell
9,023
-2,387
-21% -$166K 0.01% 494
2020
Q2
$649K Sell
11,410
-39,099
-77% -$2.22M 0.01% 490
2020
Q1
$2.35M Sell
50,509
-107,123
-68% -$4.98M 0.03% 247
2019
Q4
$9.78M Sell
157,632
-19
-0% -$1.18K 0.1% 156
2019
Q3
$9.5M Sell
157,651
-3,693
-2% -$223K 0.11% 152
2019
Q2
$10.2M Sell
161,344
-9,758
-6% -$619K 0.12% 148
2019
Q1
$12.4M Sell
171,102
-9,979
-6% -$723K 0.14% 140
2018
Q4
$11.5M Sell
181,081
-80,646
-31% -$5.12M 0.14% 137
2018
Q3
$20.2M Sell
261,727
-1,033
-0.4% -$79.7K 0.22% 104
2018
Q2
$20.8M Sell
262,760
-11,761
-4% -$929K 0.23% 98
2018
Q1
$22.1M Sell
274,521
-16,953
-6% -$1.36M 0.25% 97
2017
Q4
$20.7M Sell
291,474
-24,078
-8% -$1.71M 0.22% 109
2017
Q3
$22.9M Sell
315,552
-8,725
-3% -$633K 0.26% 102
2017
Q2
$21.5M Sell
324,277
-39,451
-11% -$2.62M 0.25% 105
2017
Q1
$21.6M Buy
363,728
+3,412
+0.9% +$203K 0.26% 104
2016
Q4
$20.2M Sell
360,316
-14,488
-4% -$812K 0.25% 107
2016
Q3
$17.9M Sell
374,804
-4,364
-1% -$208K 0.23% 107
2016
Q2
$21.7M Sell
379,168
-10,241
-3% -$586K 0.28% 94
2016
Q1
$24.4M Buy
389,409
+88,865
+30% +$5.57M 0.32% 92
2015
Q4
$18M Sell
300,544
-9,788
-3% -$587K 0.24% 109
2015
Q3
$19.4M Buy
310,332
+7,369
+2% +$461K 0.28% 102
2015
Q2
$18.5M Buy
302,963
+3,033
+1% +$185K 0.25% 115
2015
Q1
$18.7M Buy
299,930
+14,647
+5% +$914K 0.24% 114
2014
Q4
$15M Buy
285,283
+53,698
+23% +$2.83M 0.19% 129
2014
Q3
$10.4M Buy
231,585
+98,972
+75% +$4.43M 0.13% 145
2014
Q2
$6.49M Buy
132,613
+6,581
+5% +$322K 0.08% 169
2014
Q1
$6.38M Buy
126,032
+2,674
+2% +$135K 0.08% 163
2013
Q4
$6.23M Buy
123,358
+3,126
+3% +$158K 0.08% 165
2013
Q3
$4.94M Buy
120,232
+68,108
+131% +$2.8M 0.07% 187
2013
Q2
$1.63M Buy
+52,124
New +$1.63M 0.02% 340