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31 quarters

Position history for KIKorea Investment CORP's holdings in MICROSOFT CORP

Korea Investment CORP holds 5M shares of MSFT (MICROSOFT CORP), worth $1.9B as of 2026-Q2. The position was decreased (-3.3% shares). MSFT represents 3.6% of Korea Investment CORP's portfolio.

Current Value

$1.9B

Current Shares

5M

Total Value Change

+$1.3B

Total Shares Change

-988,278

Quarter-by-Quarter History
QuarterActionSharesChangeValueWeightPriceConviction
2026-Q2
Latest
Decreased
5M
-3.3%
$1.9B3.6%$373.02
0
2026-Q1
Decreased
5.2M
-3.8%
$1.9B4.0%$403.93
0
2025-Q4
Increased
5.4M
+0.5%
$2.6B5.1%$487.48
62
2025-Q3
Decreased
5.4M
-0.6%
$2.8B5.7%$513.64
0
2025-Q2
Decreased
5.4M
-1.6%
$2.7B6.0%$494.20
0
2025-Q1
Increased
5.5M
+0.8%
$2.1B5.0%$376.78
59
2024-Q4
Decreased
5.4M
-2.9%
$2.3B5.4%$421.72
0
2024-Q3
Decreased
5.6M
-0.7%
$2.4B5.7%$424.04
0
2024-Q2
Decreased
5.7M
-2.1%
$2.5B6.4%$441.99
0
2024-Q1
Decreased
5.8M
-4.9%
$2.4B6.2%$415.31
0
2023-Q4
Increased
6.1M
+1.3%
$2.3B6.0%$370.52
63
2023-Q3
Decreased
6M
-2.2%
$1.9B5.6%$310.48
0
2023-Q2
Decreased
6.1M
-3.2%
$2.1B5.9%$328.76
0
2023-Q1
Decreased
6.3M
-1.2%
$1.8B5.3%$278.11
0
2022-Q4
Decreased
6.4M
-9.3%
$1.5B4.8%$234.22
0
2022-Q3
Increased
7.1M
+2.1%
$1.6B5.1%$231.30
63
2022-Q2
Decreased
6.9M
-3.3%
$1.8B5.4%$252.93
0
2022-Q1
Increased
7.2M
+12.9%
$2.2B5.5%$304.31
70
2021-Q4
Increased
6.3M
+4.8%
$2.1B5.5%$328.32
65
2021-Q3
Decreased
6M
-7.1%
$1.7B5.1%$274.29
0
2021-Q2
Decreased
6.5M
-0.5%
$1.8B5.0%$261.62
0
2021-Q1
Decreased
6.5M
-10.1%
$1.5B4.9%$222.98
0
2020-Q4
Increased
7.3M
+8.0%
$1.6B4.9%$212.71
63
2020-Q3
Decreased
6.7M
-4.8%
$1.4B5.0%$198.35
0
2020-Q2
Increased
7.1M
+2.2%
$1.4B5.3%$189.46
63
2020-Q1
Increased
6.9M
+3.8%
$1.1B4.8%$152.55
61
2019-Q4
Increased
6.7M
+6.0%
$1.1B3.8%$149.63
62
2019-Q3
Decreased
6.3M
-0.4%
$874.3M3.7%$130.33
0
2019-Q2
Increased
6.3M
+0.7%
$845.5M3.6%$126.34
59
2019-Q1
Increased
6.3M
+4.3%
$739.5M3.3%$110.82
61
2018-Q4
New
6M
-
$610.6M3.3%$93.93
87

Other major holders of MSFT: BNP PARIBAS FINANCIAL MARKETS, VANGUARD GROUP INC, BlackRock, Inc.

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