Virginia Retirement Systems’s Boston Scientific BSX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$7.14M Sell
66,500
-48,600
-42% -$5.22M 0.05% 257
2025
Q1
$11.6M Buy
+115,100
New +$11.6M 0.09% 223
2023
Q1
Sell
-630,800
Closed -$29.2M 1056
2022
Q4
$29.2M Hold
630,800
0.3% 85
2022
Q3
$24.4M Buy
+630,800
New +$24.4M 0.28% 88
2022
Q1
$8.61M Buy
194,300
+20,600
+12% +$912K 0.08% 251
2021
Q4
$7.38K Buy
+173,700
New +$7.38K 0.05% 265
2021
Q1
Sell
-88,000
Closed -$3.16M 1107
2020
Q4
$3.16M Sell
88,000
-238,100
-73% -$8.56M 0.03% 333
2020
Q3
$12.5M Sell
326,100
-500
-0.2% -$19.1K 0.14% 170
2020
Q2
$11.5M Buy
326,600
+54,700
+20% +$1.92M 0.14% 176
2020
Q1
$8.87M Sell
271,900
-103,600
-28% -$3.38M 0.12% 206
2019
Q4
$17M Sell
375,500
-28,500
-7% -$1.29M 0.18% 149
2019
Q3
$16.4M Sell
404,000
-74,200
-16% -$3.02M 0.19% 151
2019
Q2
$20.6M Buy
478,200
+12,500
+3% +$537K 0.24% 120
2019
Q1
$17.9M Buy
465,700
+140,400
+43% +$5.39M 0.21% 135
2018
Q4
$11.5M Buy
325,300
+209,100
+180% +$7.39M 0.16% 176
2018
Q3
$4.47M Buy
116,200
+45,400
+64% +$1.75M 0.05% 335
2018
Q2
$2.32M Sell
70,800
-3,900
-5% -$128K 0.03% 406
2018
Q1
$2.04M Hold
74,700
0.02% 433
2017
Q4
$1.85M Buy
+74,700
New +$1.85M 0.02% 495
2017
Q3
Sell
-369,400
Closed -$10.2M 1036
2017
Q2
$10.2M Sell
369,400
-485,300
-57% -$13.5M 0.13% 205
2017
Q1
$21.3M Sell
854,700
-47,600
-5% -$1.18M 0.27% 103
2016
Q4
$19.5M Buy
902,300
+16,300
+2% +$353K 0.27% 100
2016
Q3
$21.1M Buy
886,000
+431,500
+95% +$10.3M 0.3% 88
2016
Q2
$10.6M Buy
+454,500
New +$10.6M 0.16% 180
2015
Q4
$4.37M Buy
236,875
+208,640
+739% +$3.85M 0.07% 301
2015
Q3
$463K Buy
28,235
+495
+2% +$8.12K 0.01% 717
2015
Q2
$491K Buy
27,740
+107
+0.4% +$1.89K 0.01% 724
2015
Q1
$490K Buy
27,633
+350
+1% +$6.21K 0.01% 713
2014
Q4
$361K Buy
27,283
+75
+0.3% +$992 0.01% 763
2014
Q3
$321K Buy
27,208
+213
+0.8% +$2.51K 0.01% 789
2014
Q2
$345K Sell
26,995
-81
-0.3% -$1.04K 0.01% 774
2014
Q1
$366K Buy
27,076
+10,014
+59% +$135K 0.01% 740
2013
Q4
$205K Buy
17,062
+4,004
+31% +$48.1K ﹤0.01% 825
2013
Q3
$153K Sell
13,058
-29,620
-69% -$347K ﹤0.01% 800
2013
Q2
$396K Buy
+42,678
New +$396K 0.01% 724