Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$83M Sell
95,877
-8,063
-8% -$7.2M 0.33% 63
2025
Q4
$85.3M Sell
103,940
-11,145
-10% -$9.1M 0.32% 57
2025
Q3
$88.9M Sell
115,085
-36,931
-24% -$26M 0.33% 55
2025
Q2
$111M Sell
152,016
-31,460
-17% -$22.2M 0.42% 36
2025
Q1
$123M Buy
183,476
+3,557
+2% +$2.2M 0.52% 24
2024
Q4
$103M Buy
179,919
+11,731
+7% +$6.57M 0.41% 37
2024
Q3
$83.2M Buy
168,188
+30,389
+22% +$16.9M 0.32% 61
2024
Q2
$80.5M Buy
137,799
+6,781
+5% +$3.77M 0.32% 63
2024
Q1
$70.3M Sell
131,018
-49,040
-27% -$24.9M 0.28% 78
2023
Q4
$83.4M Sell
180,058
-58,502
-25% -$26.6M 0.35% 55
2023
Q3
$104M Buy
238,560
+34,435
+17% +$14.5M 0.46% 33
2023
Q2
$87.2M Sell
204,125
-5,912
-3% -$2.27M 0.37% 52
2023
Q1
$74.8M Sell
210,037
-102,799
-33% -$37.1M 0.32% 67
2022
Q4
$117M Sell
312,836
-31,998
-9% -$11.9M 0.53% 29
2022
Q3
$117M Sell
344,834
-19,899
-5% -$6.91M 0.56% 27
2022
Q2
$119M Buy
364,733
+72,957
+25% +$23.3M 0.54% 31
2022
Q1
$89.3M Sell
291,776
-97,364
-25% -$26.5M 0.33% 71
2021
Q4
$96.7M Buy
389,140
+3,186
+0.8% +$699K 0.34% 65
2021
Q3
$77M Sell
385,954
-181,278
-32% -$36.2M 0.29% 79
2021
Q2
$108M Sell
567,232
-12,482
-2% -$2.41M 0.39% 51
2021
Q1
$113M Sell
579,714
-22,566
-4% -$4.12M 0.43% 46
2020
Q4
$105M Buy
602,280
+69,778
+13% +$11.6M 0.4% 51
2020
Q3
$79.3M Buy
532,502
+149,340
+39% +$22.7M 0.33% 60
2020
Q2
$58.8M Buy
383,162
+51,911
+16% +$7.5M 0.26% 86
2020
Q1
$44.8M Buy
331,251
+115,740
+54% +$17M 0.24% 100
2019
Q4
$29.8M Buy
215,511
+2,699
+1% +$381K 0.12% 199
2019
Q3
$29.1M Sell
212,812
-8,056
-4% -$1.14M 0.13% 204
2019
Q2
$29.7M Sell
220,868
-83,742
-27% -$10.4M 0.13% 200
2019
Q1
$35.7M Sell
304,610
-1,349
-0.4% -$167K 0.16% 162
2018
Q4
$33.8M Sell
305,959
-45,793
-13% -$5.71M 0.17% 157
2018
Q3
$46.7M Sell
351,752
-11,571
-3% -$1.51M 0.2% 136
2018
Q2
$48.5M Buy
363,323
+17,057
+5% +$2.49M 0.21% 132
2018
Q1
$48.8M Buy
346,266
+2,324
+0.7% +$362K 0.22% 133
2017
Q4
$53.6M Buy
343,942
+11,820
+4% +$1.75M 0.23% 132
2017
Q3
$51M Hold
332,122
0.22% 136
2017
Q2
$54.6M Sell
332,122
-120,775
-27% -$18.3M 0.24% 122
2017
Q1
$67.1M Sell
452,897
-29,091
-6% -$4.26M 0.29% 85
2016
Q4
$67.7M Buy
481,988
+47,930
+11% +$7.05M 0.3% 83
2016
Q3
$72.4M Buy
434,058
+6,350
+1% +$1.18M 0.32% 78
2016
Q2
$79.8M Buy
427,708
+45,195
+12% +$7.93M 0.35% 67
2016
Q1
$60.1M Buy
382,513
+30,339
+9% +$4.9M 0.27% 99
2015
Q4
$69.5M Buy
352,174
+5,117
+1% +$966K 0.31% 86
2015
Q3
$64.2M Sell
347,057
-4,380
-1% -$928K 0.31% 93
2015
Q2
$79M Sell
351,437
-9,439
-3% -$2.18M 0.35% 66
2015
Q1
$81.6M Sell
360,876
-5,831
-2% -$1.29M 0.36% 66
2014
Q4
$76.1M Sell
366,707
-6,943
-2% -$1.41M 0.33% 74
2014
Q3
$72.7M Sell
373,650
-36,200
-9% -$6.97M 0.32% 78
2014
Q2
$76.3M Sell
409,850
-9,808
-2% -$1.74M 0.34% 80
2014
Q1
$74.1M Sell
419,658
-4,900
-1% -$856K 0.33% 75
2013
Q4
$68.5M Sell
424,558
-192,373
-31% -$29.5M 0.31% 86
2013
Q3
$79.2M Sell
616,931
-10,969
-2% -$1.35M 0.35% 73
2013
Q2
$71.9M Buy
+627,900
New +$69.9M 0.31% 78

Other funds holding MCK

STRS Ohio's MCK Position: Q1 2026 in Review

STRS Ohio reduced its McKesson (MCK) stake by 7.8% in Q1 2026, selling an estimated $7.2M and leaving 95,877 shares worth $83M. The position accounts for 0.33% of the portfolio, ranked #63.

STRS Ohio first reported a position in MCK in Q2 2013 and has held it in 52 quarters since. The position peaked at $123M in Q1 2025. 2,032 funds tracked by Wall St. Rank hold MCK as of Q1 2026.

  • STRS Ohio held 95,877 shares of McKesson worth $83M as of Q1 2026.
  • STRS Ohio sold 8,063 McKesson shares in Q1 2026, an estimated $7.2M.
  • McKesson made up 0.33% of STRS Ohio's portfolio in Q1 2026, its #63 holding.
  • STRS Ohio first reported a position in McKesson in Q2 2013 and has held it in 52 quarters since.
  • STRS Ohio's McKesson position peaked at $123M in Q1 2025.
  • 2,032 funds tracked by Wall St. Rank held McKesson as of Q1 2026.

Based on STRS Ohio's 13F filing for Q1 2026, filed 24 Apr 2026.