Wellington Management Group’s Cognizant CTSH Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$298M Sell
4,851,652
-13,574
-0.3% -$971K 0.06% 292
2025
Q4
$404M Buy
4,865,226
+354,130
+8% +$26.5M 0.07% 238
2025
Q3
$303M Sell
4,511,096
-3,278,541
-42% -$237M 0.05% 301
2025
Q2
$608M Buy
7,789,637
+1,331,319
+21% +$102M 0.11% 174
2025
Q1
$494M Buy
6,458,318
+579,175
+10% +$47.2M 0.1% 189
2024
Q4
$452M Sell
5,879,143
-181,904
-3% -$14.2M 0.08% 202
2024
Q3
$468M Sell
6,061,047
-65,660
-1% -$4.89M 0.08% 210
2024
Q2
$417M Sell
6,126,707
-32,441
-0.5% -$2.2M 0.07% 237
2024
Q1
$451M Sell
6,159,148
-338,421
-5% -$25.9M 0.08% 238
2023
Q4
$491M Sell
6,497,569
-58,164
-0.9% -$4.02M 0.09% 211
2023
Q3
$444M Sell
6,555,733
-154,488
-2% -$10.7M 0.09% 223
2023
Q2
$438M Sell
6,710,221
-3,207,289
-32% -$199M 0.08% 234
2023
Q1
$604M Buy
9,917,510
+3,017,452
+44% +$189M 0.12% 171
2022
Q4
$395M Sell
6,900,058
-1,838,048
-21% -$108M 0.08% 242
2022
Q3
$502M Sell
8,738,106
-3,826,405
-30% -$251M 0.11% 194
2022
Q2
$848M Buy
12,564,511
+312,789
+3% +$23.9M 0.17% 129
2022
Q1
$1.1B Buy
12,251,722
+3,537,761
+41% +$311M 0.19% 127
2021
Q4
$773M Buy
8,713,961
+785,359
+10% +$63.2M 0.12% 170
2021
Q3
$588M Buy
7,928,602
+247,776
+3% +$18.3M 0.1% 204
2021
Q2
$532M Buy
7,680,826
+2,153,631
+39% +$160M 0.09% 227
2021
Q1
$432M Buy
5,527,195
+1,342,927
+32% +$104M 0.08% 254
2020
Q4
$343M Buy
4,184,268
+3,189,964
+321% +$243M 0.06% 289
2020
Q3
$69M Buy
994,304
+904,245
+1,004% +$58.8M 0.01% 613
2020
Q2
$5.12M Buy
90,059
+3,629
+4% +$195K ﹤0.01% 1207
2020
Q1
$4.02M Buy
86,430
+2,984
+4% +$178K ﹤0.01% 1241
2019
Q4
$5.18M Buy
83,446
+3,592
+4% +$222K ﹤0.01% 1325
2019
Q3
$4.81M Sell
79,854
-134,620
-63% -$8.51M ﹤0.01% 1365
2019
Q2
$13.6M Sell
214,474
-1,359,914
-86% -$89.2M ﹤0.01% 1114
2019
Q1
$114M Sell
1,574,388
-77,559
-5% -$5.43M 0.03% 511
2018
Q4
$105M Sell
1,651,947
-1,370,722
-45% -$95.3M 0.03% 497
2018
Q3
$233M Sell
3,022,669
-2,156,254
-42% -$169M 0.05% 354
2018
Q2
$409M Sell
5,178,923
-937,061
-15% -$73.7M 0.09% 229
2018
Q1
$492M Sell
6,115,984
-59,083
-1% -$4.67M 0.11% 202
2017
Q4
$439M Buy
6,175,067
+339,349
+6% +$24.8M 0.1% 225
2017
Q3
$423M Sell
5,835,718
-139,053
-2% -$9.77M 0.1% 220
2017
Q2
$397M Buy
5,974,771
+235,696
+4% +$15M 0.09% 223
2017
Q1
$342M Sell
5,739,075
-1,413,448
-20% -$81.3M 0.08% 234
2016
Q4
$401M Sell
7,152,523
-5,626,613
-44% -$301M 0.1% 201
2016
Q3
$610M Buy
12,779,136
+776,280
+6% +$44.2M 0.15% 146
2016
Q2
$687M Buy
12,002,856
+3,671,729
+44% +$222M 0.18% 134
2016
Q1
$522M Buy
8,331,127
+436,001
+6% +$25.3M 0.14% 160
2015
Q4
$474M Sell
7,895,126
-219,591
-3% -$14.2M 0.12% 169
2015
Q3
$508M Sell
8,114,717
-1,358,890
-14% -$85.3M 0.14% 156
2015
Q2
$579M Sell
9,473,607
-1,715,563
-15% -$108M 0.15% 147
2015
Q1
$698M Buy
11,189,170
+560,482
+5% +$33.1M 0.18% 121
2014
Q4
$560M Buy
10,628,688
+654,461
+7% +$32.7M 0.15% 145
2014
Q3
$447M Buy
9,974,227
+1,019,338
+11% +$48M 0.12% 178
2014
Q2
$438M Sell
8,954,889
-2,430,286
-21% -$118M 0.12% 187
2014
Q1
$576M Sell
11,385,175
-408,539
-3% -$20.4M 0.16% 138
2013
Q4
$595M Sell
11,793,714
-499,902
-4% -$22.8M 0.17% 140
2013
Q3
$505M Buy
12,293,616
+4,948,820
+67% +$184M 0.16% 148
2013
Q2
$230M Buy
+7,344,796
New +$244M 0.08% 287

Other funds holding CTSH