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Boston Scientific Corporation shares owned by Metropolitan Life Insurance Company

Quarter-by-quarter ownership of Boston Scientific Corporation (BSX) shares owned by Metropolitan Life Insurance Company from 13F filings

Historical chart of Metropolitan Life Insurance Company investment in Boston Scientific Corporation

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All positions including Boston Scientific Corporation held by Metropolitan Life Insurance Company consolidated in one spreadsheet with up to 7 years of data

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Quarterly reported holdings in Boston Scientific Corporation by Metropolitan Life Insurance Company

Quarter filed Position value Share count Share price at filing
2023-12-31 $3.4M 60k 57.81
2023-09-30 $3.2M 61k 52.80
2023-06-30 $3.4M 63k 54.09
2023-03-31 $3.2M 64k 50.03
2022-12-31 $3.8M 81k 46.27
2022-09-30 $3.3M 85k 38.73
2022-06-30 $3.2M 86k 37.27
2022-03-31 $3.9M 88k 44.29
2021-12-31 $6.9M 163k 42.48
2021-09-30 $7.3M 167k 43.39
2021-06-30 $7.4M 173k 42.76
2021-03-31 $5.7k 146 38.74
2020-12-31 $6.7M 186k 35.95
2020-09-30 $7.4M 193k 38.21
2020-06-30 $7.0M 201k 35.11
2020-03-31 $8.9M 272k 32.63
2019-12-31 $13M 276k 45.22
2019-09-30 $11M 276k 40.69
2019-06-30 $11M 258k 42.98
2019-03-31 $858k 71k 12.12
2018-12-31 $8.9M 253k 35.34
2018-09-30 $9.8M 254k 38.50
2018-06-30 $8.5M 260k 32.70
2018-03-31 $7.5M 273k 27.32
2017-12-31 $6.7M 272k 24.79
2017-09-30 $21M 709k 29.17
2017-06-30 $20M 717k 27.72
2017-03-31 $18M 725k 24.87
2016-12-31 $16M 734k 21.63
2016-09-30 $18M 754k 23.80
2016-06-30 $18M 762k 23.37
2016-03-31 $13M 708k 18.81
2015-12-31 $13M 716k 18.44
2015-09-30 $12M 734k 16.41
2015-06-30 $13M 746k 17.70
2015-03-31 $13M 744k 17.75
2014-12-31 $10M 751k 13.25
2014-09-30 $8.8M 746k 11.81
2014-06-30 $9.6M 755k 12.77
2014-03-31 $11M 788k 13.52
2013-12-31 $9.7M 808k 12.02
2013-09-30 $9.9M 841k 11.74
2013-06-30 $7.9M 849k 9.27
2013-03-31 $6.8M 870k 7.81
2012-12-31 $5.2M 900k 5.73
2012-09-30 $5.4M 941k 5.74
2012-06-30 $5.5M 967k 5.67
2012-03-31 $5.8M 974k 5.98
2011-12-31 $5.4M 1.0M 5.34
2011-09-30 $6.3M 1.1M 5.91
2011-06-30 $7.2M 1.0M 6.91
2011-03-31 $7.6M 1.1M 7.19