Bingham Osborn & Scarborough’s Intel INTC Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q4
Sell
-11,201
Closed -$597K 71
2021
Q3
$597K Sell
11,201
-187
-2% -$9.97K 0.04% 76
2021
Q2
$639K Buy
11,388
+1,412
+14% +$79.2K 0.05% 75
2021
Q1
$638K Buy
9,976
+3,291
+49% +$210K 0.05% 66
2020
Q4
$333K Sell
6,685
-8,222
-55% -$410K 0.03% 105
2020
Q3
$772K Sell
14,907
-699
-4% -$36.2K 0.06% 74
2020
Q2
$934K Buy
15,606
+723
+5% +$43.3K 0.08% 63
2020
Q1
$805K Buy
14,883
+389
+3% +$21K 0.08% 64
2019
Q4
$867K Sell
14,494
-841
-5% -$50.3K 0.07% 69
2019
Q3
$790K Sell
15,335
-2,783
-15% -$143K 0.07% 67
2019
Q2
$867K Buy
18,118
+4,231
+30% +$202K 0.08% 64
2019
Q1
$746K Sell
13,887
-1,361
-9% -$73.1K 0.07% 66
2018
Q4
$716K Buy
15,248
+1,097
+8% +$51.5K 0.07% 66
2018
Q3
$669K Buy
14,151
+835
+6% +$39.5K 0.06% 71
2018
Q2
$662K Sell
13,316
-28
-0.2% -$1.39K 0.06% 65
2018
Q1
$695K Sell
13,344
-193
-1% -$10.1K 0.07% 67
2017
Q4
$625K Buy
13,537
+515
+4% +$23.8K 0.06% 68
2017
Q3
$496K Buy
13,022
+699
+6% +$26.6K 0.05% 72
2017
Q2
$416K Buy
12,323
+155
+1% +$5.23K 0.04% 78
2017
Q1
$439K Sell
12,168
-899
-7% -$32.4K 0.04% 75
2016
Q4
$474K Sell
13,067
-924
-7% -$33.5K 0.05% 68
2016
Q3
$528K Buy
13,991
+204
+1% +$7.7K 0.06% 66
2016
Q2
$452K Sell
13,787
-24
-0.2% -$787 0.05% 73
2016
Q1
$447K Buy
13,811
+2,489
+22% +$80.6K 0.05% 72
2015
Q4
$390K Sell
11,322
-575
-5% -$19.8K 0.05% 78
2015
Q3
$359K Sell
11,897
-3,190
-21% -$96.3K 0.05% 80
2015
Q2
$459K Buy
15,087
+1,619
+12% +$49.3K 0.06% 73
2015
Q1
$421K Buy
13,468
+1,725
+15% +$53.9K 0.05% 75
2014
Q4
$426K Buy
11,743
+7
+0.1% +$254 0.05% 73
2014
Q3
$409K Buy
11,736
+806
+7% +$28.1K 0.05% 76
2014
Q2
$338K Sell
10,930
-1,691
-13% -$52.3K 0.04% 75
2014
Q1
$326K Buy
12,621
+2,010
+19% +$51.9K 0.05% 77
2013
Q4
$275K Buy
+10,611
New +$275K 0.04% 82
2013
Q3
Sell
-8,501
Closed -$206K 94
2013
Q2
$206K Buy
+8,501
New +$206K 0.04% 85