AAMU
CSCO icon

Amundi Asset Management US’s Cisco CSCO Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2021
Q1
$705M Buy
13,637,100
+5,013,028
+58% +$259M 0.54% 37
2020
Q4
$386M Buy
8,624,072
+1,124,102
+15% +$50.3M 0.33% 67
2020
Q3
$295M Buy
7,499,970
+2,299,359
+44% +$90.6M 0.31% 69
2020
Q2
$243M Buy
5,200,611
+519,153
+11% +$24.2M 0.29% 76
2020
Q1
$184M Sell
4,681,458
-1,957,022
-29% -$76.9M 0.32% 71
2019
Q4
$318M Buy
6,638,480
+30,018
+0.5% +$1.44M 0.37% 58
2019
Q3
$327M Sell
6,608,462
-1,540,646
-19% -$76.1M 0.49% 37
2019
Q2
$446M Buy
8,149,108
+772,688
+10% +$42.3M 0.37% 74
2019
Q1
$398M Sell
7,376,420
-438,053
-6% -$23.7M 0.56% 36
2018
Q4
$339K Buy
7,814,473
+935,763
+14% +$40.5K 0.31% 50
2018
Q3
$335M Sell
6,878,710
-3,007,408
-30% -$146M 0.44% 48
2018
Q2
$425M Sell
9,886,118
-3,197,244
-24% -$138M 0.61% 30
2018
Q1
$561M Sell
13,083,362
-6,415,520
-33% -$275M 0.9% 13
2017
Q4
$747M Buy
19,498,882
+9,292,187
+91% +$356M 1.15% 8
2017
Q3
$343M Buy
10,206,695
+1,138,084
+13% +$38.3M 1.09% 24
2017
Q2
$284M Buy
9,068,611
+809,863
+10% +$25.3M 0.93% 28
2017
Q1
$279M Buy
8,258,748
+408,875
+5% +$13.8M 0.94% 25
2016
Q4
$237M Buy
7,849,873
+2,868,555
+58% +$86.7M 0.83% 32
2016
Q3
$158M Sell
4,981,318
-913,687
-15% -$29M 0.57% 49
2016
Q2
$169M Buy
5,895,005
+811,690
+16% +$23.3M 0.61% 48
2016
Q1
$145M Buy
5,083,315
+3,499,800
+221% +$99.6M 0.54% 60
2015
Q4
$43M Sell
1,583,515
-775,590
-33% -$21.1M 0.16% 130
2015
Q3
$61.9M Buy
2,359,105
+119,993
+5% +$3.15M 0.25% 112
2015
Q2
$61.5M Buy
2,239,112
+9,600
+0.4% +$264K 0.22% 127
2015
Q1
$61.4M Buy
2,229,512
+337,905
+18% +$9.3M 0.22% 119
2014
Q4
$52.6M Buy
1,891,607
+1,280,838
+210% +$35.6M 0.19% 141
2014
Q3
$15.4M Buy
610,769
+592,857
+3,310% +$14.9M 0.06% 287
2014
Q2
$445K Sell
17,912
-275
-2% -$6.83K ﹤0.01% 596
2014
Q1
$408K Sell
18,187
-1,502,439
-99% -$33.7M ﹤0.01% 599
2013
Q4
$34.1M Sell
1,520,626
-2,805,140
-65% -$63M 0.13% 188
2013
Q3
$101M Sell
4,325,766
-998,460
-19% -$23.4M 0.41% 74
2013
Q2
$129M Buy
+5,324,226
New +$129M 0.54% 50