Twin Tree Management
MCK icon

Twin Tree Management’s McKesson MCK Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$1.74M Buy
+2,368
New +$1.74M ﹤0.01% 309
2025
Q1
Sell
-6,179
Closed -$3.52M 781
2024
Q4
$3.52M Buy
6,179
+6,154
+24,616% +$3.51M 0.01% 224
2024
Q3
$12.4K Buy
+25
New +$12.4K ﹤0.01% 475
2023
Q4
Sell
-673
Closed -$293K 664
2023
Q3
$293K Buy
+673
New +$293K ﹤0.01% 346
2023
Q2
Hold
0
643
2023
Q1
Sell
-16,518
Closed -$6.2M 625
2022
Q4
$6.2M Sell
16,518
-19,331
-54% -$7.25M 0.01% 141
2022
Q3
$12.2M Sell
35,849
-9,152
-20% -$3.11M 0.02% 89
2022
Q2
$14.7M Buy
45,001
+42,935
+2,078% +$14M 0.02% 113
2022
Q1
$632K Sell
2,066
-24,104
-92% -$7.37M ﹤0.01% 484
2021
Q4
$6.51M Buy
26,170
+19,890
+317% +$4.94M 0.01% 181
2021
Q3
$1.25M Buy
6,280
+4,276
+213% +$852K ﹤0.01% 379
2021
Q2
$383K Buy
+2,004
New +$383K ﹤0.01% 449
2021
Q1
Hold
0
729
2020
Q4
Hold
0
668
2020
Q3
Hold
0
690
2020
Q2
Hold
0
755
2020
Q1
Hold
0
729
2019
Q4
Hold
0
705
2019
Q3
Hold
0
728
2019
Q2
Hold
0
767
2019
Q1
Hold
0
772
2018
Q4
Sell
-13,786
Closed -$1.83M 701
2018
Q3
$1.83M Sell
13,786
-19,658
-59% -$2.61M 0.01% 179
2018
Q2
$4.46M Sell
33,444
-7,178
-18% -$957K 0.03% 118
2018
Q1
$5.72M Buy
+40,622
New +$5.72M 0.05% 61
2017
Q4
Sell
-44,576
Closed -$6.85M 466
2017
Q3
$6.85M Buy
+44,576
New +$6.85M 0.05% 32
2017
Q2
Hold
0
475
2017
Q1
Sell
-45,528
Closed -$6.39M 505
2016
Q4
$6.39M Sell
45,528
-23,824
-34% -$3.35M 0.06% 34
2016
Q3
$11.6M Buy
69,352
+64,200
+1,246% +$10.7M 0.15% 3
2016
Q2
$962K Buy
+5,152
New +$962K 0.02% 162
2016
Q1
Hold
0
582
2015
Q4
Sell
-16,805
Closed -$3.11M 588
2015
Q3
$3.11M Buy
16,805
+14,110
+524% +$2.61M 0.08% 15
2015
Q2
$606K Sell
2,695
-122
-4% -$27.4K 0.01% 181
2015
Q1
$637K Buy
2,817
+917
+48% +$207K 0.02% 151
2014
Q4
$394K Buy
+1,900
New +$394K 0.01% 198
2014
Q3
Sell
-7,285
Closed -$1.36M 397
2014
Q2
$1.36M Sell
7,285
-6,867
-49% -$1.28M 0.03% 72
2014
Q1
$2.5M Buy
14,152
+10,837
+327% +$1.91M 0.05% 17
2013
Q4
$535K Buy
+3,315
New +$535K 0.01% 123
2013
Q3
Sell
-3,736
Closed -$428K 286
2013
Q2
$428K Buy
+3,736
New +$428K 0.02% 102