HUDSON VALLEY INVESTMENT ADVISORS INC /ADV Medtronic plc Transaction History

HUDSON VALLEY INVESTMENT ADVISORS INC /ADV portfolio value:

$9.59M
portfolio value

HUDSON VALLEY INVESTMENT ADVISORS INC /ADV quarter portfolio value change:

-10.03%
quarter

Medtronic plc 13F transactions

Quarter Transaction type Change Relative change Absolute change Change value Avg. price Shares
Q3 2022 share Decrease -2.75% -3.36K shares -1.37M $80.75 118.82K
Q2 2022 share Decrease -4.97% -6.39K shares -3.3M $89.75 122.18K
Q1 2022 share Decrease -2.75% -3.64K shares 588K $110.95 128.57K
Q4 2021 share Decrease -0.68% -902 shares -3.00M $104.47 132.22K
Q3 2021 share Increase +0.54% 717 shares 251K $125.35 133.12K
Q2 2021 share Increase +0.49% 643 shares 871K $123.53 132.40K
Q1 2021 share Increase +1.64% 2.12K shares 379K $116.97 131.76K
Q4 2020 share Increase +0.16% 208 shares 1.73M $115.42 129.63K
Q3 2020 share Decrease -0.01% -12 shares 1.58M $101.88 129.42K
Q2 2020 share Decrease -0.47% -605 shares 142K $89.39 129.44K
Q1 2020 share Decrease -11.93% -17.61K shares -5.02M $87.33 130.04K
Q4 2019 share Decrease -0.25% -369 shares 673K $109.23 147.65K
Q3 2019 share Decrease -0.31% -460 shares 1.61M $104.08 148.02K
Q2 2019 share Decrease -0.28% -414 shares 899K $92.34 148.48K
Q1 2019 share Decrease -3.95% -6.11K shares -538K $86.36 148.9K
Q4 2018 share Increase +3.62% 5.41K shares -616K $85.78 155.01K
Q3 2018 share Increase +0.45% 672 shares 1.96M $92.25 149.60K
Q2 2018 share Decrease -1.47% -2.21K shares 625K $79.42 148.93K
Q1 2018 share Decrease -3.19% -4.97K shares -482K $74.42 151.14K
Q4 2017 share Decrease -4.01% -6.51K shares -41K $74.47 156.11K
Q3 2017 share Decrease -1.12% -1.83K shares -1.94M $71.32 162.63K
Q2 2017 share Decrease -0.13% -215 shares 1.33M $80.49 164.47K
Q1 2017 share Decrease -7.08% -12.55K shares 642K $73.06 164.68K
Q4 2016 share Increase +3.60% 6.16K shares -2.15M $64.26 177.24K
Q3 2016 share Increase +0.15% 263 shares -40K $77.48 171.07K
Q2 2016 share Decrease -7.37% -13.58K shares 992K $77.05 170.81K
Q1 2016 share Decrease -20.22% -46.74K shares -3.95M $66.6 184.39K