WCM
MCK icon

Wedge Capital Management’s McKesson MCK Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$32.3M Sell
44,062
-4,453
-9% -$3.26M 0.58% 71
2025
Q1
$32.7M Buy
48,515
+1,340
+3% +$902K 0.63% 74
2024
Q4
$26.9M Sell
47,175
-10,385
-18% -$5.92M 0.48% 81
2024
Q3
$28.5M Sell
57,560
-1,699
-3% -$840K 0.49% 81
2024
Q2
$34.6M Sell
59,259
-15,769
-21% -$9.21M 0.61% 67
2024
Q1
$40.3M Buy
75,028
+10,736
+17% +$5.76M 0.65% 60
2023
Q4
$29.8M Sell
64,292
-9,263
-13% -$4.29M 0.53% 68
2023
Q3
$32M Sell
73,555
-4,205
-5% -$1.83M 0.63% 54
2023
Q2
$33.2M Sell
77,760
-36,615
-32% -$15.6M 0.53% 46
2023
Q1
$40.7M Buy
114,375
+11,948
+12% +$4.25M 0.69% 22
2022
Q4
$38.4M Sell
102,427
-2,511
-2% -$942K 0.62% 43
2022
Q3
$35.7M Sell
104,938
-9,483
-8% -$3.22M 0.6% 49
2022
Q2
$37.3M Sell
114,421
-4,699
-4% -$1.53M 0.59% 51
2022
Q1
$36.5M Sell
119,120
-29,623
-20% -$9.07M 0.49% 71
2021
Q4
$37M Sell
148,743
-3,268
-2% -$812K 0.46% 74
2021
Q3
$30.3M Sell
152,011
-9,245
-6% -$1.84M 0.39% 91
2021
Q2
$30.8M Sell
161,256
-3,582
-2% -$685K 0.38% 106
2021
Q1
$32.2M Buy
164,838
+959
+0.6% +$187K 0.38% 106
2020
Q4
$28.5M Buy
+163,879
New +$28.5M 0.33% 105
2020
Q3
Sell
-205,655
Closed -$31.6M 550
2020
Q2
$31.6M Sell
205,655
-42,491
-17% -$6.52M 0.43% 88
2020
Q1
$33.6M Sell
248,146
-45,407
-15% -$6.14M 0.58% 55
2019
Q4
$40.6M Buy
293,553
+58,817
+25% +$8.14M 0.45% 85
2019
Q3
$32.1M Sell
234,736
-19,476
-8% -$2.66M 0.37% 104
2019
Q2
$34.2M Sell
254,212
-80,286
-24% -$10.8M 0.39% 90
2019
Q1
$39.2M Buy
334,498
+60,747
+22% +$7.11M 0.45% 80
2018
Q4
$30.2M Buy
273,751
+17,003
+7% +$1.88M 0.37% 98
2018
Q3
$34.1M Buy
256,748
+57,702
+29% +$7.65M 0.33% 100
2018
Q2
$26.6M Sell
199,046
-29,708
-13% -$3.96M 0.26% 127
2018
Q1
$32.2M Sell
228,754
-57,652
-20% -$8.12M 0.31% 110
2017
Q4
$44.7M Buy
286,406
+24,544
+9% +$3.83M 0.4% 76
2017
Q3
$40.2M Buy
261,862
+19,384
+8% +$2.98M 0.37% 78
2017
Q2
$39.9M Buy
+242,478
New +$39.9M 0.38% 74
2014
Q1
Sell
-291,507
Closed -$47M 515
2013
Q4
$47M Sell
291,507
-15,750
-5% -$2.54M 0.5% 62
2013
Q3
$39.4M Sell
307,257
-13,080
-4% -$1.68M 0.45% 73
2013
Q2
$36.7M Buy
+320,337
New +$36.7M 0.44% 80