Amundi Asset Management US’s Microchip Technology MCHP Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q1
$41.4M Buy
534,092
+43,400
+9% +$3.37M 0.03% 464
2020
Q4
$33.9M Buy
490,692
+55,282
+13% +$3.82M 0.03% 494
2020
Q3
$22.4M Buy
435,410
+76,108
+21% +$3.91M 0.02% 519
2020
Q2
$18.9M Buy
359,302
+192,496
+115% +$10.1M 0.02% 525
2020
Q1
$5.65M Sell
166,806
-98,856
-37% -$3.35M 0.01% 705
2019
Q4
$13.9M Buy
265,662
+90,800
+52% +$4.75M 0.02% 668
2019
Q3
$8.12M Sell
174,862
-146,854
-46% -$6.82M 0.01% 738
2019
Q2
$13.9M Buy
321,716
+34,142
+12% +$1.48M 0.01% 683
2019
Q1
$11.9M Sell
287,574
-249,324
-46% -$10.3M 0.02% 663
2018
Q4
$19.3K Sell
536,898
-1,092,272
-67% -$39.3K 0.02% 491
2018
Q3
$64.3M Sell
1,629,170
-330,804
-17% -$13.1M 0.08% 238
2018
Q2
$89.1M Sell
1,959,974
-86,354
-4% -$3.93M 0.13% 177
2018
Q1
$93.5M Buy
2,046,328
+366,350
+22% +$16.7M 0.15% 154
2017
Q4
$73.8M Buy
1,679,978
+350,484
+26% +$15.4M 0.11% 188
2017
Q3
$59.7M Sell
1,329,494
-5,724
-0.4% -$257K 0.19% 111
2017
Q2
$51.5M Sell
1,335,218
-6,150
-0.5% -$237K 0.17% 115
2017
Q1
$49.5M Sell
1,341,368
-9,200
-0.7% -$339K 0.17% 114
2016
Q4
$43.3M Buy
1,350,568
+4,898
+0.4% +$157K 0.15% 121
2016
Q3
$41.8M Sell
1,345,670
-3,248
-0.2% -$101K 0.15% 122
2016
Q2
$34.2M Sell
1,348,918
-5,694
-0.4% -$145K 0.12% 141
2016
Q1
$32.6M Sell
1,354,612
-634
-0% -$15.3K 0.12% 145
2015
Q4
$31.5M Buy
1,355,246
+10,378
+0.8% +$241K 0.12% 158
2015
Q3
$29M Buy
1,344,868
+1,612
+0.1% +$34.7K 0.12% 171
2015
Q2
$31.9M Buy
1,343,256
+2,520
+0.2% +$59.8K 0.12% 187
2015
Q1
$32.8M Buy
1,340,736
+7,940
+0.6% +$194K 0.12% 195
2014
Q4
$30.1M Sell
1,332,796
-46,746
-3% -$1.05M 0.11% 207
2014
Q3
$32.6M Buy
1,379,542
+18,830
+1% +$445K 0.12% 185
2014
Q2
$33.2M Buy
1,360,712
+39,026
+3% +$952K 0.13% 189
2014
Q1
$31.6M Sell
1,321,686
-3,940
-0.3% -$94.1K 0.12% 192
2013
Q4
$29.7M Buy
1,325,626
+868
+0.1% +$19.4K 0.11% 200
2013
Q3
$26.7M Buy
1,324,758
+3,248
+0.2% +$65.4K 0.11% 205
2013
Q2
$24.6M Buy
+1,321,510
New +$24.6M 0.1% 227