AAMU
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Amundi Asset Management US’s Microsoft MSFT Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2021
Q1
$5.62B Buy
23,841,154
+1,580,112
+7% +$373M 4.3% 1
2020
Q4
$4.95B Buy
22,261,042
+1,650,226
+8% +$367M 4.21% 1
2020
Q3
$4.33B Buy
20,610,816
+87,946
+0.4% +$18.5M 4.54% 1
2020
Q2
$4.18B Buy
20,522,870
+2,872,961
+16% +$585M 4.95% 1
2020
Q1
$2.51B Sell
17,649,909
-4,239,108
-19% -$602M 4.37% 1
2019
Q4
$3.45B Buy
21,889,017
+3,836,507
+21% +$605M 4.05% 1
2019
Q3
$2.51B Sell
18,052,510
-1,740,400
-9% -$242M 3.74% 1
2019
Q2
$3.77B Sell
19,792,910
-257,980
-1% -$49.1M 3.08% 1
2019
Q1
$2.36B Sell
20,050,890
-4,394,308
-18% -$518M 3.33% 1
2018
Q4
$2.48M Sell
24,445,198
-449,650
-2% -$45.7K 2.29% 4
2018
Q3
$2.85B Sell
24,894,848
-1,878,999
-7% -$215M 3.73% 1
2018
Q2
$2.64B Buy
26,773,847
+1,309,436
+5% +$129M 3.81% 1
2018
Q1
$2.32B Sell
25,464,411
-1,009,740
-4% -$92.2M 3.73% 1
2017
Q4
$2.26B Buy
26,474,151
+9,092,634
+52% +$778M 3.49% 1
2017
Q3
$1.29B Buy
17,381,517
+933,883
+6% +$69.6M 4.12% 2
2017
Q2
$1.13B Buy
16,447,634
+996,006
+6% +$68.7M 3.72% 2
2017
Q1
$1.02B Sell
15,451,628
-499,668
-3% -$32.9M 3.43% 2
2016
Q4
$991M Sell
15,951,296
-1,247,751
-7% -$77.5M 3.49% 2
2016
Q3
$991M Sell
17,199,047
-214,197
-1% -$12.3M 3.56% 2
2016
Q2
$891M Sell
17,413,244
-20,500
-0.1% -$1.05M 3.23% 1
2016
Q1
$963M Buy
17,433,744
+682,521
+4% +$37.7M 3.58% 1
2015
Q4
$929M Sell
16,751,223
-232,743
-1% -$12.9M 3.47% 1
2015
Q3
$752M Buy
16,983,966
+494,620
+3% +$21.9M 3.08% 1
2015
Q2
$728M Sell
16,489,346
-264,370
-2% -$11.7M 2.66% 2
2015
Q1
$681M Buy
16,753,716
+467,071
+3% +$19M 2.44% 2
2014
Q4
$757M Buy
16,286,645
+339,867
+2% +$15.8M 2.75% 2
2014
Q3
$739M Buy
15,946,778
+1,272,826
+9% +$59M 2.79% 1
2014
Q2
$612M Sell
14,673,952
-242,514
-2% -$10.1M 2.34% 2
2014
Q1
$611M Buy
14,916,466
+551,939
+4% +$22.6M 2.33% 1
2013
Q4
$538M Buy
14,364,527
+223,403
+2% +$8.36M 2.06% 2
2013
Q3
$471M Buy
14,141,124
+825,128
+6% +$27.5M 1.91% 2
2013
Q2
$460M Buy
+13,315,996
New +$460M 1.92% 2