Westfield Capital Management’s Cognizant CTSH Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2022
Q2
Sell
-368,187
Closed -$33M 239
2022
Q1
$33M Sell
368,187
-230,540
-39% -$20.3M 0.21% 142
2021
Q4
$53.1M Buy
598,727
+124,502
+26% +$10M 0.32% 111
2021
Q3
$35.2M Sell
474,225
-133,224
-22% -$9.83M 0.21% 151
2021
Q2
$42.1M Sell
607,449
-51,990
-8% -$3.87M 0.25% 136
2021
Q1
$51.5M Sell
659,439
-100,351
-13% -$7.75M 0.32% 117
2020
Q4
$62.3M Sell
759,790
-43,111
-5% -$3.28M 0.37% 93
2020
Q3
$55.7M Sell
802,901
-35,446
-4% -$2.31M 0.36% 94
2020
Q2
$47.6M Sell
838,347
-336,047
-29% -$18.1M 0.33% 104
2020
Q1
$54.6M Buy
1,174,394
+136,483
+13% +$8.13M 0.48% 75
2019
Q4
$64.4M Buy
1,037,911
+284,298
+38% +$17.6M 0.46% 76
2019
Q3
$45.4M Buy
753,613
+146,266
+24% +$9.25M 0.36% 96
2019
Q2
$38.5M Buy
+607,347
New +$39.8M 0.29% 119
2018
Q3
Sell
-970,210
Closed -$76.6M 259
2018
Q2
$76.6M Sell
970,210
-293,097
-23% -$23M 0.57% 55
2018
Q1
$102M Buy
1,263,307
+330,886
+35% +$26.2M 0.78% 34
2017
Q4
$66.2M Sell
932,421
-56,231
-6% -$4.11M 0.51% 67
2017
Q3
$71.7M Buy
988,652
+120,636
+14% +$8.47M 0.55% 62
2017
Q2
$57.6M Sell
868,016
-74,048
-8% -$4.7M 0.49% 74
2017
Q1
$56.1M Buy
942,064
+742,854
+373% +$42.7M 0.48% 71
2016
Q4
$11.2M Buy
+199,210
New +$10.7M 0.1% 209
2016
Q3
Sell
-813,708
Closed -$46.6M 255
2016
Q2
$46.6M Sell
813,708
-428,452
-34% -$25.9M 0.38% 90
2016
Q1
$77.9M Sell
1,242,160
-458,061
-27% -$26.6M 0.59% 54
2015
Q4
$102M Buy
1,700,221
+165,207
+11% +$10.6M 0.69% 47
2015
Q3
$96.1M Buy
+1,535,014
New +$96.4M 0.68% 42
2013
Q4
Sell
-634,086
Closed -$26M 330
2013
Q3
$26M Sell
634,086
-21,068
-3% -$782K 0.17% 176
2013
Q2
$20.5M Buy
+655,154
New +$21.8M 0.14% 198

Other funds holding CTSH