ALLSCRIPTS HEALTHCARE SOLUTN

Ticker: MDRX CUSIP: 01988P108 Class: Common Stock

WELLINGTON MANAGEMENT GROUP LLP's Holding History (CIK: 0000902219)

Note: Option positions (PUT/CALL) are excluded.

Q4 2023
Shares 5,806,297 Value ($000) $60,908 Avg Close $12.26 Range $9.34 - $14.09
Q3 2023
Shares 2,665,814 Value ($000) $35,029 Avg Close $13.11 Range $11.82 - $13.87
Q2 2023
Shares 1,384,495 Value ($000) $17,445 Avg Close $12.15 Range $11.30 - $13.26
Q1 2023
Shares 1,548,356 Value ($000) $20,206 Avg Close $16.19 Range $12.64 - $19.77
Q4 2022
Shares 1,275,836 Value ($000) $22,506 Avg Close $16.75 Range $13.59 - $19.25
Q3 2022
Shares 1,017,448 Value ($000) $15,495 Avg Close $16.17 Range $13.99 - $17.90
Q2 2022
Shares 783,604 Value ($000) $11,621 Avg Close $18.70 Range $14.65 - $23.25
Q1 2022
Shares 1,695,615 Value ($000) $38,185 Avg Close $20.26 Range $16.85 - $22.95
Q4 2021
Shares 5,044,976 Value ($000) $93,080 Avg Close $15.88 Range $13.05 - $18.83
Q3 2021
Shares 5,178,710 Value ($000) $69,238 Avg Close $16.14 Range $13.30 - $18.84
Q2 2021
Shares 4,977,375 Value ($000) $92,131 Avg Close $16.83 Range $15.09 - $19.01
Q1 2021
Shares 5,292,953 Value ($000) $79,474 Avg Close $16.01 Range $14.06 - $17.96
Q4 2020
Shares 17,553,303 Value ($000) $253,470 Avg Close $12.10 Range $7.89 - $14.91
Q3 2020
Shares 20,892,473 Value ($000) $170,065 Avg Close $8.17 Range $6.33 - $10.49
Q2 2020
Shares 21,997,375 Value ($000) $148,921 Avg Close $6.48 Range $5.28 - $7.70
Q1 2020
Shares 21,790,256 Value ($000) $153,403 Avg Close $8.11 Range $4.56 - $9.88
Q4 2019
Shares 21,862,997 Value ($000) $214,585 Avg Close $10.53 Range $9.33 - $11.82
Q3 2019
Shares 21,634,550 Value ($000) $237,547 Avg Close $10.26 Range $8.75 - $12.02
Q2 2019
Shares 22,826,497 Value ($000) $265,473 Avg Close $10.17 Range $9.18 - $11.67
Q1 2019
Shares 23,753,388 Value ($000) $226,608 Avg Close $11.05 Range $9.43 - $12.40
Q4 2018
Shares 24,377,502 Value ($000) $234,999 Avg Close $11.15 Range $8.54 - $14.34
Q3 2018
Shares 19,594,880 Value ($000) $279,227 Avg Close $13.59 Range $11.62 - $14.97
Q2 2018
Shares 19,347,257 Value ($000) $232,167 Avg Close $12.32 Range $10.78 - $12.98
Q1 2018
Shares 18,702,881 Value ($000) $230,981 Avg Close $14.21 Range $11.91 - $16.13
Q4 2017
Shares 18,870,577 Value ($000) $274,567 Avg Close $13.89 Range $12.46 - $15.20
Q3 2017
Shares 19,661,338 Value ($000) $279,781 Avg Close $12.94 Range $11.65 - $14.45
Q2 2017
Shares 19,947,252 Value ($000) $254,527 Avg Close $12.14 Range $11.25 - $13.08
Q1 2017
Shares 25,152,886 Value ($000) $318,938 Avg Close $11.86 Range $10.24 - $12.91
Q4 2016
Shares 25,797,842 Value ($000) $263,396 Avg Close $11.41 Range $9.80 - $13.51
Q3 2016
Shares 25,898,416 Value ($000) $341,083 Avg Close $13.37 Range $12.40 - $15.17
Q2 2016
Shares 25,900,437 Value ($000) $328,936 Avg Close $13.26 Range $11.67 - $14.06
Q1 2016
Shares 25,753,121 Value ($000) $340,198 Avg Close $13.13 Range $11.47 - $14.96
Q4 2015
Shares 25,772,456 Value ($000) $396,380 Avg Close $14.34 Range $12.07 - $15.78
Q3 2015
Shares 24,812,669 Value ($000) $307,678 Avg Close $13.76 Range $12.07 - $15.41
Q2 2015
Shares 23,775,659 Value ($000) $325,251 Avg Close $13.50 Range $11.63 - $14.66
Q1 2015
Shares 23,988,379 Value ($000) $286,900 Avg Close $12.22 Range $11.33 - $13.13
Q4 2014
Shares 25,050,605 Value ($000) $319,897 Avg Close $12.74 Range $11.00 - $14.04
Q3 2014
Shares 23,737,264 Value ($000) $318,436 Avg Close $15.16 Range $13.24 - $17.17
Q2 2014
Shares 16,384,149 Value ($000) $262,966 Avg Close $15.59 Range $14.40 - $18.40
Q1 2014
Shares 19,910,247 Value ($000) $358,981 Avg Close $17.30 Range $14.49 - $19.68
Q4 2013
Shares 21,220,187 Value ($000) $328,063 Avg Close $14.74 Range $13.72 - $15.54
Q3 2013
Shares 24,918,241 Value ($000) $370,534 Avg Close $15.08 Range $12.91 - $16.43
Q2 2013
Shares 24,601,299 Value ($000) $318,340 Avg Close $13.40 Range $12.36 - $14.24