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Sun Life Financial’s Boston Scientific BSX Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2023
Q2
Sell
-16,133
Closed -$805K 37
2023
Q1
$805K Hold
16,133
0.06% 38
2022
Q4
$751K Sell
16,133
-1,234
-7% -$57.4K 0.06% 39
2022
Q3
$673K Sell
17,367
-3,401
-16% -$132K 0.05% 41
2022
Q2
$776K Sell
20,768
-867
-4% -$32.4K 0.06% 44
2022
Q1
$956K Sell
21,635
-73
-0.3% -$3.23K 0.04% 48
2021
Q4
$921K Buy
21,708
+1,766
+9% +$74.9K 0.03% 55
2021
Q3
$864K Buy
19,942
+4,680
+31% +$203K 0.05% 47
2021
Q2
$653K Sell
15,262
-1,099
-7% -$47K 0.03% 46
2021
Q1
$632K Buy
16,361
+15,515
+1,834% +$599K 0.05% 54
2020
Q4
$30K Sell
846
-18
-2% -$638 ﹤0.01% 209
2020
Q3
$33K Buy
864
+35
+4% +$1.34K 0.01% 191
2020
Q2
$29K Sell
829
-6
-0.7% -$210 0.01% 183
2020
Q1
$27K Buy
835
+24
+3% +$776 0.01% 167
2019
Q4
$37K Sell
811
-330
-29% -$15.1K 0.01% 162
2019
Q3
$46K Buy
1,141
+19
+2% +$766 0.01% 298
2019
Q2
$48K Sell
1,122
-1,241
-53% -$53.1K 0.01% 291
2019
Q1
$91K Sell
2,363
-1,457
-38% -$56.1K 0.02% 278
2018
Q4
$135K Buy
3,820
+22
+0.6% +$777 0.03% 249
2018
Q3
$146K Buy
3,798
+59
+2% +$2.27K 0.03% 281
2018
Q2
$122K Buy
3,739
+3,568
+2,087% +$116K 0.02% 292
2018
Q1
$6.27K Sell
171
-2,837
-94% -$104K 0.06% 128
2017
Q4
$75K Sell
3,008
-7,080
-70% -$177K 0.01% 220
2017
Q3
$294K Buy
10,088
+76
+0.8% +$2.22K 0.03% 184
2017
Q2
$278K Buy
10,012
+9,994
+55,522% +$278K 0.03% 178
2017
Q1
$740 Buy
18
+2
+13% +$82 ﹤0.01% 146
2016
Q4
$734 Sell
16
-22,385
-100% -$1.03M 0.01% 97
2016
Q3
$533K Sell
22,401
-32,741
-59% -$779K 0.07% 34
2016
Q2
$1.29M Sell
55,142
-34,184
-38% -$799K 0.15% 40
2016
Q1
$1.68K Sell
89,326
-32,461
-27% -$611 ﹤0.01% 82
2015
Q4
$2.25M Sell
121,787
-39,451
-24% -$728K 0.31% 31
2015
Q3
$2.65M Sell
161,238
-88,959
-36% -$1.46M 0.57% 21
2015
Q2
$4.43M Hold
250,197
0.47% 25
2015
Q1
$4.44M Sell
250,197
-54,397
-18% -$966K 0.46% 25
2014
Q4
$4.04M Sell
304,594
-42,723
-12% -$566K 0.42% 30
2014
Q3
$4.1M Sell
347,317
-18,255
-5% -$216K 0.43% 30
2014
Q2
$4.67M Sell
365,572
-41,112
-10% -$525K 0.48% 29
2014
Q1
$5.5M Sell
406,684
-140,502
-26% -$1.9M 0.55% 31
2013
Q4
$6.58M Sell
547,186
-1,132,796
-67% -$13.6M 0.58% 39
2013
Q3
$19.7M Sell
1,679,982
-38,734
-2% -$455K 1.77% 6
2013
Q2
$15.9M Buy
+1,718,716
New +$15.9M 1.34% 13