Holding/activity history for  Boston Scientific (BSX)
Period | Shares | % of Portfolio | Activity | % Change to Portfolio | Reported Price |
2024   Q3 | 967,210 | 0.30 | Buy | 0.30 | $83.80 |
2024   Q2 | 0 | 0 | Sell 100.00% | 0.44 | |
2024   Q1 | 1,724,755 | 0.44 | Reduce 23.94% | 0.14 | $68.49 |
2023   Q4 | 2,267,761 | 0.48 | Add 104.25% | 0.24 | $57.81 |
2023   Q3 | 1,110,292 | 0.24 | Buy | 0.24 | $52.80 |
2023   Q2 | 0 | 0 | Sell 100.00% | 0.27 | |
2023   Q1 | 1,136,881 | 0.27 | Reduce 88.07% | 1.99 | $50.03 |
2022   Q4 | 9,528,593 | 2.22 | Reduce 41.05% | 1.55 | $46.27 |
2022   Q3 | 16,162,921 | 2.90 | Add 10.30% | 0.27 | $38.73 |
2022   Q2 | 14,653,954 | 2.51 | Add 14.13% | 0.31 | $37.27 |
2022   Q1 | 12,839,142 | 2.31 | Reduce 32.29% | 1.10 | $44.29 |
2021   Q4 | 18,961,501 | 2.34 | Add 176.15% | 1.49 | $42.48 |
2021   Q3 | 6,866,405 | 0.83 | Reduce 48.43% | 0.78 | $43.39 |
2021   Q2 | 13,315,816 | 1.73 | Reduce 25.59% | 0.60 | $42.76 |
2021   Q1 | 17,896,102 | 2.06 | Reduce 40.33% | 1.39 | $38.65 |
2020   Q4 | 29,990,892 | 2.96 | Add 59.27% | 1.10 | $35.95 |
2020   Q3 | 18,829,730 | 2.60 | Add 2.02% | 0.05 | $38.21 |
2020   Q2 | 18,457,273 | 2.80 | Reduce 41.99% | 2.03 | $35.11 |
2020   Q1 | 31,816,197 | 5.40 | Add 72.06% | 2.26 | $32.63 |
2019   Q4 | 18,491,662 | 3.92 | Add 77.53% | 1.71 | $45.22 |
2019   Q3 | 10,416,047 | 2.21 | Add 13.28% | 0.26 | $40.69 |
2019   Q2 | 9,195,192 | 1.78 | Add 185.53% | 1.16 | $42.98 |
2019   Q1 | 3,220,369 | 0.71 | $38.38 |