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Steven Cohen’s MCK Holdings & Trades

First Buy
Q2 2014
Duration Held
44 Quarters
Largest Add
Q3 2020
+436,557 Shares
Current Position
15,880 Shares
$13.03 M Value

Steven Cohen's MCK Position Overview

Steven Cohen (via Point72 Asset Management, L.P.) currently holds 15,880 shares of McKesson Corporation (MCK) worth $13.03 M, representing 0.01% of the portfolio. First purchased in 2014-Q2, this long-term strategic position has been held for 44 quarters.

Based on 13F filings since 2013, Steven Cohen has maintained a long-term strategic position in MCK, representing a significant commitment to this investment thesis. Largest addition occurred in Q3 2020, adding 436,557 shares. Largest reduction occurred in Q3 2017, reducing 526,716 shares.

Analysis based on 13F filings available since 2013 Q2

Steven Cohen's McKesson Corporation (MCK) Holding Value Over Time

Track share changes against reported price movement

Quarterly McKesson Corporation (MCK) Trades by Steven Cohen

Report Date Bought/Sold (Sh.) % Change Qtr. End Shares Reported Price
Q4 2025 +15,880 New Buy 15,880 $820.29
Q1 2025 -102,802 Sold Out 0 $0.00
Q4 2024 +102,802 New Buy 102,802 $569.91
Q2 2024 -163,746 Sold Out 0 $0.00
Q1 2024 -65,523 Reduce 28.58% 163,746 $536.85
Q4 2023 -197,848 Reduce 46.32% 229,269 $462.98
Q3 2023 +321,193 Add 303.23% 427,117 $434.85
Q2 2023 +101,109 Add 2099.88% 105,924 $427.31
Q1 2023 -43,885 Reduce 90.11% 4,815 $356.05
Q4 2022 +48,700 New Buy 48,700 $375.12
Q3 2022 -83,519 Sold Out 0 $0.00
Q2 2022 +83,519 New Buy 83,519 $326.21
Q1 2022 -156,800 Sold Out 0 $0.00
Q4 2021 -68,300 Reduce 30.34% 156,800 $248.57
Q3 2021 -3,700 Reduce 1.62% 225,100 $199.38
Q2 2021 +183,171 Add 401.44% 228,800 $191.24
Q1 2021 -200,508 Reduce 81.46% 45,629 $195.03
Q4 2020 -190,420 Reduce 43.62% 246,137 $173.92
Q3 2020 +436,557 New Buy 436,557 $148.93
Q2 2020 -37,788 Sold Out 0 $0.00
Q1 2020 +13,968 Add 58.64% 37,788 $135.25
Q4 2019 +23,820 New Buy 23,820 $138.33
Q3 2019 -1,508 Sold Out 0 $0.00
Q2 2019 +1,508 New Buy 1,508 $134.62
Q1 2019 -272,100 Sold Out 0 $0.00
Q4 2018 +238,200 Add 702.65% 272,100 $110.47
Q3 2018 +33,900 New Buy 33,900 $132.65
Q2 2018 -112,700 Sold Out 0 $0.00
Q1 2018 +48,800 Add 76.37% 112,700 $140.87
Q4 2017 +18,900 Add 42.00% 63,900 $155.95
Q3 2017 -526,716 Reduce 92.13% 45,000 $153.60
Q2 2017 +213,216 Add 59.47% 571,716 $164.54
Q1 2017 +315,400 Add 731.79% 358,500 $148.26
Q4 2016 +43,100 New Buy 43,100 $140.44
Q3 2016 -175,700 Sold Out 0 $0.00
Q2 2016 +166,500 Add 1809.78% 175,700 $186.65
Q1 2016 +9,200 New Buy 9,200 $157.28
Q4 2015 -4,700 Sold Out 0 $0.00
Q3 2015 +4,700 New Buy 4,700 $185.11
Q2 2015 -7,200 Sold Out 0 $0.00
Q1 2015 -7,800 Reduce 52.00% 7,200 $226.25
Q4 2014 -70,100 Reduce 82.37% 15,000 $207.60
Q3 2014 -216,400 Reduce 71.77% 85,100 $194.67
Q2 2014 +301,500 Add 0.00% 301,500 $186.21

Steven Cohen's McKesson Corporation Investment FAQs

Steven Cohen first purchased McKesson Corporation (MCK) in Q2 2014, acquiring 301,500 shares, as reported in their 13F filing for that period. Note: Analysis reflects filings available since Q2 2013; earlier records may be incomplete.

Steven Cohen has held McKesson Corporation (MCK) for 44 quarters since Q2 2014.

Steven Cohen's largest addition to McKesson Corporation (MCK) was in Q3 2020, adding 436,557 shares worth $65.02 M.

According to the latest 13F filing for Q4 2025, Steven Cohen's firm, Point72 Asset Management, L.P., owns 15,880 shares of McKesson Corporation (MCK), valued at approximately $13.03 M.

As of the Q4 2025 filing, McKesson Corporation (MCK) represents approximately 0.01% of Steven Cohen's publicly disclosed stock portfolio, making it one of their key holdings.

Steven Cohen's peak holding in McKesson Corporation (MCK) was 571,716 shares, as reported at the end of Q2 2017.