TDAM USA’s Medtronic MDT Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q4
$13M Sell
125,429
-1,024
-0.8% -$106K 0.81% 31
2021
Q3
$15.9M Sell
126,453
-1,131
-0.9% -$142K 1.04% 24
2021
Q2
$16.8M Buy
127,584
+13,918
+12% +$1.83M 1.03% 24
2021
Q1
$13.4M Sell
113,666
-3,541
-3% -$418K 0.82% 31
2020
Q4
$13.7M Buy
117,207
+792
+0.7% +$92.8K 0.86% 28
2020
Q3
$12.1M Buy
116,415
+4,162
+4% +$433K 0.83% 28
2020
Q2
$10.1M Buy
112,253
+41,151
+58% +$3.71M 0.73% 35
2020
Q1
$6.41M Buy
71,102
+4,249
+6% +$383K 0.54% 60
2019
Q4
$7.58M Sell
66,853
-904
-1% -$103K 0.49% 76
2019
Q3
$7.36M Buy
67,757
+41,442
+157% +$4.5M 0.52% 69
2019
Q2
$2.56M Buy
26,315
+6,321
+32% +$616K 0.18% 118
2019
Q1
$1.82M Sell
19,994
-6,279
-24% -$572K 0.13% 128
2018
Q4
$2.39M Sell
26,273
-11,581
-31% -$1.05M 0.17% 114
2018
Q3
$3.44M Sell
37,854
-315
-0.8% -$28.7K 0.21% 107
2018
Q2
$3.27M Sell
38,169
-60,989
-62% -$5.22M 0.21% 108
2018
Q1
$7.95M Sell
99,158
-7,975
-7% -$640K 0.48% 69
2017
Q4
$8.65M Sell
107,133
-9,980
-9% -$806K 0.5% 66
2017
Q3
$9.11M Sell
117,113
-2,116
-2% -$165K 0.54% 65
2017
Q2
$10.6M Buy
119,229
+5,599
+5% +$497K 0.54% 63
2017
Q1
$9.15M Sell
113,630
-3,275
-3% -$264K 0.46% 75
2016
Q4
$8.33M Sell
116,905
-8,325
-7% -$593K 0.44% 76
2016
Q3
$10.8M Sell
125,230
-3,405
-3% -$294K 0.54% 64
2016
Q2
$11.2M Sell
128,635
-4,118
-3% -$357K 0.55% 64
2016
Q1
$9.96M Buy
132,753
+3,728
+3% +$280K 0.49% 70
2015
Q4
$9.93M Sell
129,025
-6,113
-5% -$470K 0.48% 75
2015
Q3
$9.05M Sell
135,138
-10,071
-7% -$674K 0.46% 73
2015
Q2
$10.8M Sell
145,209
-18,013
-11% -$1.33M 0.49% 68
2015
Q1
$12.7M Sell
163,222
-4,220
-3% -$329K 0.52% 67
2014
Q4
$12.1M Sell
167,442
-7,081
-4% -$511K 0.51% 71
2014
Q3
$10.8M Sell
174,523
-36,584
-17% -$2.27M 0.47% 73
2014
Q2
$13.5M Sell
211,107
-96,680
-31% -$6.16M 0.57% 63
2014
Q1
$18.9M Buy
307,787
+136,461
+80% +$8.4M 0.82% 39
2013
Q4
$9.83M Buy
171,326
+64,391
+60% +$3.7M 0.42% 77
2013
Q3
$5.69M Sell
106,935
-16,782
-14% -$894K 0.27% 95
2013
Q2
$6.31M Buy
+123,717
New +$6.31M 0.29% 91