Russell Investments Group
MCD icon

Russell Investments Group’s McDonald's MCD Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$113M Sell
387,537
-145,129
-27% -$42.4M 0.14% 146
2025
Q1
$166M Sell
532,666
-11,058
-2% -$3.45M 0.23% 77
2024
Q4
$158M Sell
543,724
-19,022
-3% -$5.51M 0.22% 75
2024
Q3
$171M Buy
562,746
+69,575
+14% +$21.2M 0.25% 68
2024
Q2
$126M Sell
493,171
-34,579
-7% -$8.83M 0.2% 91
2024
Q1
$149M Buy
527,750
+58,494
+12% +$16.5M 0.23% 80
2023
Q4
$139M Buy
469,256
+133,523
+40% +$39.6M 0.25% 77
2023
Q3
$88.6M Sell
335,733
-39,304
-10% -$10.4M 0.18% 126
2023
Q2
$112M Buy
375,037
+20,971
+6% +$6.24M 0.22% 88
2023
Q1
$98.9M Buy
354,066
+22,028
+7% +$6.15M 0.19% 112
2022
Q4
$87.7M Sell
332,038
-19,254
-5% -$5.08M 0.18% 115
2022
Q3
$81.3M Buy
351,292
+26,224
+8% +$6.07M 0.18% 122
2022
Q2
$80.3M Sell
325,068
-57,780
-15% -$14.3M 0.16% 141
2022
Q1
$94.8M Buy
382,848
+41,908
+12% +$10.4M 0.16% 137
2021
Q4
$91.3M Buy
340,940
+12,246
+4% +$3.28M 0.15% 151
2021
Q3
$79.5M Buy
328,694
+98,836
+43% +$23.9M 0.13% 168
2021
Q2
$53.1M Sell
229,858
-35,795
-13% -$8.26M 0.09% 277
2021
Q1
$59.6M Buy
265,653
+24,854
+10% +$5.58M 0.11% 218
2020
Q4
$51.3M Sell
240,799
-97,877
-29% -$20.9M 0.1% 229
2020
Q3
$74.2M Buy
338,676
+102,381
+43% +$22.4M 0.16% 138
2020
Q2
$43.4M Sell
236,295
-1,248
-0.5% -$229K 0.1% 222
2020
Q1
$39.6M Sell
237,543
-82,775
-26% -$13.8M 0.1% 228
2019
Q4
$63.2M Sell
320,318
-49,804
-13% -$9.83M 0.12% 192
2019
Q3
$79.3M Buy
370,122
+38,496
+12% +$8.25M 0.15% 149
2019
Q2
$68.7M Sell
331,626
-222,797
-40% -$46.2M 0.13% 181
2019
Q1
$105M Buy
554,423
+15,743
+3% +$2.99M 0.19% 106
2018
Q4
$95.3M Sell
538,680
-74,277
-12% -$13.1M 0.21% 89
2018
Q3
$102M Buy
612,957
+81,881
+15% +$13.7M 0.19% 100
2018
Q2
$83.1M Sell
531,076
-105,695
-17% -$16.5M 0.17% 116
2018
Q1
$99.8M Sell
636,771
-128,105
-17% -$20.1M 0.17% 122
2017
Q4
$132M Sell
764,876
-59,969
-7% -$10.4M 0.22% 84
2017
Q3
$129M Sell
824,845
-58,408
-7% -$9.15M 0.22% 87
2017
Q2
$135M Buy
883,253
+6,599
+0.8% +$1.01M 0.24% 77
2017
Q1
$114M Sell
876,654
-13,176
-1% -$1.71M 0.21% 100
2016
Q4
$109M Buy
+889,830
New +$109M 0.21% 102