A detailed history of Shell Asset Management CO transactions in Mckesson Corp stock. As of the latest transaction made, Shell Asset Management CO holds 4,517 shares of MCK stock, worth $2.65 Million. This represents 0.11% of its overall portfolio holdings.

Number of Shares
4,517
Previous 6,277 28.04%
Holding current value
$2.65 Million
Previous $2.91 Million 16.55%
% of portfolio
0.11%
Previous 0.13%

Shares

26 transactions
Quarter Operation Price Per share shares change shares Held SEC Form
Q1 2024

May 14, 2024

SELL
$473.42 - $539.26 $833,219 - $949,097
-1,760 Reduced 28.04%
4,517 $2.43 Million
Q4 2023

Feb 14, 2024

SELL
$437.42 - $470.64 $358,246 - $385,454
-819 Reduced 11.54%
6,277 $2.91 Million
Q3 2023

Nov 08, 2023

SELL
$402.4 - $446.42 $38,228 - $42,409
-95 Reduced 1.32%
7,096 $3.09 Million
Q2 2023

Jul 28, 2023

SELL
$354.01 - $427.31 $30,090 - $36,321
-85 Reduced 1.17%
7,191 $3.07 Million
Q1 2023

May 15, 2023

SELL
$335.35 - $386.06 $8,719 - $10,037
-26 Reduced 0.36%
7,276 $2.59 Million
Q4 2022

Feb 07, 2023

SELL
$346.68 - $397.58 $537,007 - $615,851
-1,549 Reduced 17.5%
7,302 $2.74 Million
Q3 2022

Nov 14, 2022

SELL
$321.25 - $373.84 $801,197 - $932,356
-2,494 Reduced 21.98%
8,851 $3.01 Million
Q2 2022

Aug 09, 2022

BUY
$300.57 - $336.42 $414,786 - $464,259
1,380 Added 13.85%
11,345 $3.7 Million
Q1 2022

May 04, 2022

BUY
$244.61 - $310.48 $40,605 - $51,539
166 Added 1.69%
9,965 $3.05 Million
Q4 2021

Feb 09, 2022

BUY
$198.21 - $248.9 $1.31 Million - $1.65 Million
6,615 Added 207.76%
9,799 $2.44 Million
Q3 2021

Nov 04, 2021

SELL
$188.42 - $208.66 $1.18 Million - $1.31 Million
-6,280 Reduced 66.36%
3,184 $635,000
Q2 2021

Aug 12, 2021

BUY
$184.89 - $202.68 $716,633 - $785,587
3,876 Added 69.36%
9,464 $1.81 Million
Q1 2021

May 10, 2021

BUY
$169.52 - $196.53 $492,455 - $570,919
2,905 Added 108.27%
5,588 $1.09 Million
Q4 2020

Feb 16, 2021

BUY
$143.79 - $183.66 $17,829 - $22,773
124 Added 4.85%
2,683 $467,000
Q2 2020

Aug 10, 2020

SELL
$125.49 - $164.68 $496,940 - $652,132
-3,960 Reduced 60.75%
2,559 $393,000
Q1 2020

May 11, 2020

SELL
$115.75 - $170.96 $96,998 - $143,264
-838 Reduced 11.39%
6,519 $882,000
Q4 2019

Feb 13, 2020

SELL
$130.23 - $153.27 $585,904 - $689,561
-4,499 Reduced 37.95%
7,357 $1.02 Million
Q3 2019

Nov 12, 2019

SELL
$134.24 - $148.53 $1.06 Million - $1.18 Million
-7,928 Reduced 40.07%
11,856 $1.62 Million
Q2 2019

Aug 12, 2019

SELL
$112.47 - $134.93 $11,696 - $14,032
-104 Reduced 0.52%
19,784 $2.66 Million
Q1 2019

May 09, 2019

SELL
$111.86 - $136.3 $113,090 - $137,799
-1,011 Reduced 4.84%
19,888 $2.33 Million
Q4 2018

Feb 13, 2019

SELL
$108.23 - $136.84 $343,522 - $434,330
-3,174 Reduced 13.18%
20,899 $2.31 Million
Q3 2018

Nov 13, 2018

SELL
$123.14 - $138.52 $95,679 - $107,630
-777 Reduced 3.13%
24,073 $3.19 Million
Q2 2018

Aug 10, 2018

SELL
$133.4 - $158.13 $401,133 - $475,496
-3,007 Reduced 10.79%
24,850 $3.32 Million
Q4 2017

Feb 09, 2018

BUY
$135.02 - $162.6 $693,462 - $835,113
5,136 Added 22.6%
27,857 $4.34 Million
Q3 2017

Oct 20, 2017

SELL
$146.0 - $161.87 $11.5 Million - $12.7 Million
-78,582 Reduced 77.57%
22,721 $3.49 Million
Q3 2017

Oct 18, 2017

BUY
$146.0 - $161.87 $14.8 Million - $16.4 Million
101,303
101,303 $19.7 Million

Others Institutions Holding MCK

About MCKESSON CORP


  • Ticker MCK
  • Exchange NYSE
  • Sector Healthcare
  • Industry Medical Distribution
  • Shares Outstandng 143,730,000
  • Market Cap $84.5B
  • Description
  • McKesson Corporation provides healthcare services in the United States and internationally. It operates through four segments: U.S. Pharmaceutical, International, Medical-Surgical Solutions, and Prescription Technology Solutions (RxTS). The U.S. Pharmaceutical segment distributes branded, generic, specialty, biosimilar, and over-the-counter phar...
More about MCK
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