Berkshire Asset Management’s Micron Technology MU Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$507K Sell
4,115
-17
-0.4% -$2.1K 0.02% 183
2025
Q1
$352K Buy
4,132
+227
+6% +$19.3K 0.02% 220
2024
Q4
$403K Sell
3,905
-340
-8% -$35.1K 0.02% 213
2024
Q3
$558K Hold
4,245
0.03% 171
2024
Q2
$558K Sell
4,245
-22
-0.5% -$2.89K 0.03% 172
2024
Q1
$503K Sell
4,267
-44
-1% -$5.19K 0.03% 163
2023
Q4
$368K Sell
4,311
-46
-1% -$3.93K 0.02% 180
2023
Q3
$296K Hold
4,357
0.02% 195
2023
Q2
$275K Sell
4,357
-29
-0.7% -$1.83K 0.02% 204
2023
Q1
$265K Buy
+4,386
New +$265K 0.02% 202
2022
Q4
Sell
-4,364
Closed -$219K 191
2022
Q3
$219K Sell
4,364
-154
-3% -$7.73K 0.02% 204
2022
Q2
$250K Sell
4,518
-2,150
-32% -$119K 0.02% 199
2022
Q1
$519K Hold
6,668
0.03% 135
2021
Q4
$621K Sell
6,668
-880
-12% -$82K 0.04% 150
2021
Q3
$536K Buy
7,548
+1,708
+29% +$121K 0.04% 160
2021
Q2
$496K Hold
5,840
0.03% 158
2021
Q1
$515K Hold
5,840
0.04% 150
2020
Q4
$439K Buy
+5,840
New +$439K 0.03% 155
2020
Q2
Sell
-6,110
Closed -$257K 184
2020
Q1
$257K Buy
+6,110
New +$257K 0.03% 172
2019
Q2
Sell
-5,150
Closed -$213K 218
2019
Q1
$213K Buy
+5,150
New +$213K 0.02% 213