Veritable’s Boston Scientific BSX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2023
Q3
Sell
-24,722
Closed -$1.34M 107
2023
Q2
$1.34M Buy
24,722
+256
+1% +$13.8K 0.02% 309
2023
Q1
$1.22M Buy
24,466
+518
+2% +$25.9K 0.02% 322
2022
Q4
$1.11M Buy
23,948
+1,783
+8% +$82.5K 0.02% 334
2022
Q3
$858K Buy
22,165
+734
+3% +$28.4K 0.02% 378
2022
Q2
$799K Sell
21,431
-469
-2% -$17.5K 0.01% 424
2022
Q1
$970K Buy
21,900
+1,022
+5% +$45.3K 0.01% 408
2021
Q4
$887K Buy
20,878
+359
+2% +$15.3K 0.01% 425
2021
Q3
$890K Buy
20,519
+115
+0.6% +$4.99K 0.01% 407
2021
Q2
$872K Buy
20,404
+603
+3% +$25.8K 0.01% 406
2021
Q1
$765K Buy
19,801
+156
+0.8% +$6.03K 0.01% 414
2020
Q4
$706K Sell
19,645
-1,007
-5% -$36.2K 0.01% 414
2020
Q3
$789K Buy
20,652
+354
+2% +$13.5K 0.02% 368
2020
Q2
$713K Sell
20,298
-7,789
-28% -$274K 0.02% 381
2020
Q1
$916K Sell
28,087
-2,273
-7% -$74.1K 0.02% 319
2019
Q4
$1.37M Buy
30,360
+1,314
+5% +$59.4K 0.03% 298
2019
Q3
$1.18M Buy
29,046
+2,668
+10% +$109K 0.02% 317
2019
Q2
$1.13M Buy
26,378
+1,774
+7% +$76.3K 0.02% 319
2019
Q1
$944K Buy
24,604
+3,311
+16% +$127K 0.02% 350
2018
Q4
$752K Sell
21,293
-179
-0.8% -$6.32K 0.02% 371
2018
Q3
$827K Buy
21,472
+296
+1% +$11.4K 0.02% 375
2018
Q2
$692K Buy
21,176
+782
+4% +$25.6K 0.01% 422
2018
Q1
$557K Sell
20,394
-6,331
-24% -$173K 0.01% 458
2017
Q4
$663K Sell
26,725
-29,920
-53% -$742K 0.01% 422
2017
Q3
$1.65M Buy
56,645
+382
+0.7% +$11.1K 0.03% 252
2017
Q2
$1.56M Buy
56,263
+25,970
+86% +$720K 0.04% 261
2017
Q1
$753K Buy
30,293
+211
+0.7% +$5.25K 0.02% 384
2016
Q4
$651K Sell
30,082
-5,413
-15% -$117K 0.02% 406
2016
Q3
$845K Buy
35,495
+6,139
+21% +$146K 0.02% 346
2016
Q2
$686K Buy
29,356
+3,894
+15% +$91K 0.02% 372
2016
Q1
$479K Buy
25,462
+3,699
+17% +$69.6K 0.01% 448
2015
Q4
$401K Buy
+21,763
New +$401K 0.01% 516
2014
Q3
Sell
-11,923
Closed -$152K 955
2014
Q2
$152K Sell
11,923
-977
-8% -$12.5K ﹤0.01% 912
2014
Q1
$174K Buy
12,900
+1,291
+11% +$17.4K ﹤0.01% 866
2013
Q4
$140K Sell
11,609
-2,286
-16% -$27.6K ﹤0.01% 876
2013
Q3
$163K Sell
13,895
-2,485
-15% -$29.2K ﹤0.01% 869
2013
Q2
$152K Buy
+16,380
New +$152K ﹤0.01% 878