Mckesson Corp (MCK)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$106M
Holdings value Q1 2024
$56.7B
Value change Q1 2024
-$812M
Grand Portfolio weight change Q1 2024
-0.002%
Number of holders
1534
Number of Buys Q1 2024
656
Number of Sells Q1 2024
-620
Average Buys Q1 2024 %
+0.01%
Average Sells Q1 2024 %
-0.007%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 105M $56.3B -$791M $536.85 1,479
2023 Q4 109M $50.5B +$214M $462.98 1,480
2023 Q3 110M $48B -$452M $434.85 1,358
2023 Q2 111M $47.5B +$217M $427.31 1,329
2023 Q1 114M $40.2B -$550M $356.05 1,279
2022 Q4 118M $44.2B -$1.36B $375.12 1,308
2022 Q3 122M $41.5B -$403M $339.87 1,212
2022 Q2 124M $40.5B -$812M $326.21 1,190
2022 Q1 129M $39.1B +$353M $306.13 1,157
2021 Q4 128M $31.7B -$1.49B $248.57 1,119
2021 Q3 131M $26.2B -$280M $199.38 987
2021 Q2 134M $25.7B -$385M $191.24 989
2021 Q1 137M $26.7B +$540M $195.04 985
2020 Q4 137M $23.8B -$77.4M $173.92 989
2020 Q3 140M $20.8B -$284M $148.93 899
2020 Q2 144M $22.1B +$264M $153.42 883
2020 Q1 144M $19.4B -$937M $135.26 887
2019 Q4 156M $21.5B -$138M $138.32 898
2019 Q3 159M $21.7B -$264M $136.66 875
2019 Q2 162M $21.7B -$242M $134.39 874
2019 Q1 168M $19.6B +$561M $117.06 883
2018 Q4 166M $18.3B +$183M $110.47 897
2018 Q3 169M $22.4B -$899M $132.65 891
2018 Q2 179M $23.9B -$225M $133.40 942
2018 Q1 184M $25.9B +$271M $140.87 933
2017 Q4 184M $28.6B +$1.05B $155.95 968
2017 Q3 185M $28.5B +$1.11B $153.61 923
2017 Q2 181M $29.8B +$25M $164.54 957
2017 Q1 184M $27.2B +$2.46B $148.26 935
2016 Q4 184M $25.9B -$610M $140.45 935
2016 Q3 196M $32.6B +$1.13B $166.75 975
2016 Q2 193M $36.1B -$838M $186.65 978
2016 Q1 200M $30B +$345M $157.25 960
2015 Q4 195M $38.5B +$629M $197.23 1,009
2015 Q3 197M $36.4B +$198M $185.03 958
2015 Q2 199M $44B +$605M $224.81 978
2015 Q1 198M $44.7B +$354M $226.20 949
2014 Q4 199M $41.2B +$554M $207.58 923
2014 Q3 197M $38.3B +$76M $194.67 848
2014 Q2 197M $36.7B +$187M $186.21 848
2014 Q1 198M $35.8B +$1.98B $176.57 835