Amundi Asset Management US’s Micron Technology MU Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q1
$512M Sell
5,808,779
-481,681
-8% -$42.5M 0.39% 56
2020
Q4
$473M Buy
6,290,460
+1,248,159
+25% +$93.8M 0.4% 51
2020
Q3
$237M Sell
5,042,301
-841,474
-14% -$39.5M 0.25% 87
2020
Q2
$303M Sell
5,883,775
-82,666
-1% -$4.26M 0.36% 59
2020
Q1
$251M Sell
5,966,441
-407,082
-6% -$17.1M 0.44% 53
2019
Q4
$343M Buy
6,373,523
+2,289,871
+56% +$123M 0.4% 52
2019
Q3
$175M Sell
4,083,652
-217,771
-5% -$9.33M 0.26% 92
2019
Q2
$166M Buy
4,301,423
+807,317
+23% +$31.2M 0.14% 150
2019
Q1
$144M Sell
3,494,106
-2,538,848
-42% -$105M 0.2% 114
2018
Q4
$191K Buy
6,032,954
+1,186,090
+24% +$37.6K 0.18% 94
2018
Q3
$219M Sell
4,846,864
-1,758,570
-27% -$79.5M 0.29% 83
2018
Q2
$346M Buy
6,605,434
+527,134
+9% +$27.6M 0.5% 44
2018
Q1
$317M Buy
6,078,300
+1,958,119
+48% +$102M 0.51% 43
2017
Q4
$169M Buy
4,120,181
+150,311
+4% +$6.18M 0.26% 99
2017
Q3
$156M Buy
3,969,870
+1,379,561
+53% +$54.3M 0.5% 62
2017
Q2
$77.3M Buy
2,590,309
+1,940,212
+298% +$57.9M 0.25% 94
2017
Q1
$18.8M Buy
650,097
+33,711
+5% +$974K 0.06% 217
2016
Q4
$13.5M Sell
616,386
-2,516,681
-80% -$55.2M 0.05% 259
2016
Q3
$55.7M Buy
3,133,067
+371,310
+13% +$6.6M 0.2% 100
2016
Q2
$38M Buy
2,761,757
+449,381
+19% +$6.18M 0.14% 131
2016
Q1
$24.2M Buy
2,312,376
+703,606
+44% +$7.37M 0.09% 181
2015
Q4
$22.8M Sell
1,608,770
-381,922
-19% -$5.41M 0.09% 201
2015
Q3
$29.8M Buy
1,990,692
+1,603,409
+414% +$24M 0.12% 170
2015
Q2
$7.3M Buy
+387,283
New +$7.3M 0.03% 391
2015
Q1
Sell
-6,050
Closed -$212K 625
2014
Q4
$212K Sell
6,050
-818
-12% -$28.7K ﹤0.01% 609
2014
Q3
$235K Sell
6,868
-59,857
-90% -$2.05M ﹤0.01% 608
2014
Q2
$2.2M Buy
+66,725
New +$2.2M 0.01% 543