A detailed history of Twin Capital Management Inc transactions in Mckesson Corp stock. As of the latest transaction made, Twin Capital Management Inc holds 4,689 shares of MCK stock, worth $2.75 Million. This represents 0.32% of its overall portfolio holdings.

Number of Shares
4,689
Previous 4,665 0.51%
Holding current value
$2.75 Million
Previous $2.16 Million 16.58%
% of portfolio
0.32%
Previous 0.29%

Shares

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

May 13, 2024

BUY
$473.42 - $539.26 $11,362 - $12,942
24 Added 0.51%
4,689 $2.52 Million
Q4 2023

Jan 31, 2024

SELL
$437.42 - $470.64 $26,682 - $28,709
-61 Reduced 1.29%
4,665 $2.16 Million
Q3 2023

Nov 13, 2023

SELL
$402.4 - $446.42 $176,653 - $195,978
-439 Reduced 8.5%
4,726 $2.06 Million
Q2 2023

Aug 07, 2023

SELL
$354.01 - $427.31 $29,382 - $35,466
-83 Reduced 1.58%
5,165 $2.21 Million
Q1 2023

May 08, 2023

SELL
$335.35 - $386.06 $120,390 - $138,595
-359 Reduced 6.4%
5,248 $1.87 Million
Q4 2022

Jan 31, 2023

SELL
$346.68 - $397.58 $3,466 - $3,975
-10 Reduced 0.18%
5,607 $2.1 Million
Q3 2022

Oct 21, 2022

SELL
$321.25 - $373.84 $12,850 - $14,953
-40 Reduced 0.71%
5,617 $1.91 Million
Q2 2022

Aug 02, 2022

SELL
$300.57 - $336.42 $6,011 - $6,728
-20 Reduced 0.35%
5,657 $1.85 Million
Q1 2022

May 06, 2022

BUY
$244.61 - $310.48 $41,583 - $52,781
170 Added 3.09%
5,677 $1.74 Million
Q4 2021

Feb 07, 2022

BUY
$198.21 - $248.9 $176,406 - $221,521
890 Added 19.28%
5,507 $1.37 Million
Q3 2021

Oct 29, 2021

SELL
$188.42 - $208.66 $32,031 - $35,472
-170 Reduced 3.55%
4,617 $921,000
Q2 2021

Aug 09, 2021

SELL
$184.89 - $202.68 $35,129 - $38,509
-190 Reduced 3.82%
4,787 $915,000
Q1 2021

May 06, 2021

SELL
$169.52 - $196.53 $181,386 - $210,287
-1,070 Reduced 17.69%
4,977 $971,000
Q4 2020

Feb 11, 2021

BUY
$143.79 - $183.66 $869,498 - $1.11 Million
6,047 New
6,047 $1.05 Million
Q1 2020

Apr 29, 2020

SELL
$115.75 - $170.96 $3.34 Million - $4.93 Million
-28,835 Closed
0 $0
Q4 2019

Jan 29, 2020

SELL
$130.23 - $153.27 $819,146 - $964,068
-6,290 Reduced 17.91%
28,835 $3.99 Million
Q3 2019

Oct 28, 2019

SELL
$134.24 - $148.53 $44,836 - $49,609
-334 Reduced 0.94%
35,125 $4.8 Million
Q2 2019

Aug 01, 2019

SELL
$112.47 - $134.93 $1.6 Million - $1.91 Million
-14,191 Reduced 28.58%
35,459 $4.77 Million
Q1 2019

May 03, 2019

BUY
$111.86 - $136.3 $55,930 - $68,150
500 Added 1.02%
49,650 $5.81 Million
Q4 2018

Feb 04, 2019

SELL
$108.23 - $136.84 $1.24 Million - $1.57 Million
-11,440 Reduced 18.88%
49,150 $5.43 Million
Q3 2018

Nov 08, 2018

BUY
$123.14 - $138.52 $906,679 - $1.02 Million
7,363 Added 13.83%
60,590 $8.04 Million
Q2 2018

Aug 13, 2018

BUY
$133.4 - $158.13 $916,057 - $1.09 Million
6,867 Added 14.81%
53,227 $7.1 Million
Q1 2018

May 01, 2018

SELL
$138.75 - $176.72 $317,737 - $404,688
-2,290 Reduced 4.71%
46,360 $6.53 Million
Q4 2017

Jan 29, 2018

SELL
$135.02 - $162.6 $1.27 Million - $1.53 Million
-9,402 Reduced 16.2%
48,650 $7.59 Million
Q3 2017

Nov 09, 2017

BUY
$146.0 - $161.87 $22,776 - $25,251
156 Added 0.27%
58,052 $8.92 Million
Q2 2017

Aug 07, 2017

BUY
N/A
57,896
57,896 $9.53 Million

Others Institutions Holding MCK

About MCKESSON CORP


  • Ticker MCK
  • Exchange NYSE
  • Sector Healthcare
  • Industry Medical Distribution
  • Shares Outstandng 143,730,000
  • Market Cap $84.3B
  • 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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