Royal London Asset Management’s McDonald's MCD Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$98.8M Sell
338,208
-15,956
-5% -$4.66M 0.23% 85
2025
Q1
$111M Buy
354,164
+35,359
+11% +$11M 0.26% 73
2024
Q4
$92.4M Buy
318,805
+1,316
+0.4% +$381K 0.23% 77
2024
Q3
$96.7M Buy
317,489
+4,161
+1% +$1.27M 0.24% 81
2024
Q2
$79.8M Sell
313,328
-2,117
-0.7% -$539K 0.2% 87
2024
Q1
$88.9M Buy
315,445
+5,797
+2% +$1.63M 0.22% 88
2023
Q4
$91.8M Sell
309,648
-1,377
-0.4% -$408K 0.26% 76
2023
Q3
$81.9M Buy
311,025
+6,435
+2% +$1.7M 0.27% 71
2023
Q2
$90.9M Buy
304,590
+34,406
+13% +$10.3M 0.29% 64
2023
Q1
$75.5M Buy
270,184
+1,481
+0.6% +$414K 0.3% 64
2022
Q4
$70.8M Buy
268,703
+9,870
+4% +$2.6M 0.32% 64
2022
Q3
$59.8M Sell
258,833
-11,124
-4% -$2.57M 0.3% 63
2022
Q2
$66.7M Hold
269,957
0.31% 63
2022
Q1
$66.8M Buy
269,957
+3,483
+1% +$861K 0.26% 76
2021
Q4
$71.4M Sell
266,474
-859
-0.3% -$230K 0.27% 74
2021
Q3
$64.5M Sell
267,333
-3,367
-1% -$812K 0.26% 78
2021
Q2
$62.5M Sell
270,700
-8,319
-3% -$1.92M 0.26% 82
2021
Q1
$62.5M Buy
279,019
+9,227
+3% +$2.07M 0.29% 75
2020
Q4
$57.9M Sell
269,792
-16,650
-6% -$3.57M 0.3% 74
2020
Q3
$62.6M Sell
286,442
-802
-0.3% -$175K 0.38% 64
2020
Q2
$52.5M Sell
287,244
-12,066
-4% -$2.21M 0.37% 63
2020
Q1
$50.3M Sell
299,310
-1,675
-0.6% -$282K 0.41% 58
2019
Q4
$59.3M Buy
300,985
+59
+0% +$11.6K 0.41% 54
2019
Q3
$64.6M Sell
300,926
-5,404
-2% -$1.16M 0.49% 44
2019
Q2
$63.6M Sell
306,330
-10,837
-3% -$2.25M 0.6% 37
2019
Q1
$60.2M Sell
317,167
-11,121
-3% -$2.11M 0.47% 43
2018
Q4
$57.6M Buy
328,288
+13,396
+4% +$2.35M 0.5% 39
2018
Q3
$52.7M Sell
314,892
-17,448
-5% -$2.92M 0.54% 42
2018
Q2
$52.1M Buy
+332,340
New +$52.1M 0.52% 36
2016
Q2
$35.7M Sell
297,095
-27,948,773
-99% -$3.36B 0.58% 39
2016
Q1
$224K Buy
28,245,868
+27,916,296
+8,470% +$221K 0.32% 71
2015
Q4
$39.4M Sell
329,572
-2,938
-0.9% -$351K 0.61% 36
2015
Q3
$32.8M Buy
+332,510
New +$32.8M 0.53% 42
2014
Q4
$293K Buy
310,508
+67,833
+28% +$63.9K 0.55% 42
2014
Q3
$23.4M Buy
242,675
+12,158
+5% +$1.17M 0.59% 36
2014
Q2
$21.5M Sell
230,517
-988
-0.4% -$92.3K 0.49% 43
2014
Q1
$23.8M Sell
231,505
-9,653
-4% -$993K 0.55% 38
2013
Q4
$23.1M Buy
241,158
+6,910
+3% +$662K 0.59% 38
2013
Q3
$22.2M Buy
234,248
+2,895
+1% +$274K 0.59% 37
2013
Q2
$23.1M Buy
+231,353
New +$23.1M 0.67% 30