Boston Partners’s Marvell Technology MRVL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2020
Q2
Sell
-3,148,739
Closed -$71.2M 684
2020
Q1
$71.2M Sell
3,148,739
-192,970
-6% -$4.37M 0.14% 177
2019
Q4
$88.8M Buy
3,341,709
+120,417
+4% +$3.2M 0.12% 195
2019
Q3
$80.4M Sell
3,221,292
-628,200
-16% -$15.7M 0.11% 208
2019
Q2
$91.9M Sell
3,849,492
-8,728,096
-69% -$208M 0.12% 196
2019
Q1
$250M Sell
12,577,588
-2,736,152
-18% -$54.4M 0.33% 88
2018
Q4
$248M Buy
15,313,740
+1,030,464
+7% +$16.7M 0.36% 87
2018
Q3
$276M Buy
14,283,276
+2,076,622
+17% +$40.1M 0.32% 99
2018
Q2
$262M Buy
12,206,654
+305,655
+3% +$6.55M 0.31% 102
2018
Q1
$250M Sell
11,900,999
-718,466
-6% -$15.1M 0.3% 103
2017
Q4
$271M Buy
12,619,465
+413,878
+3% +$8.89M 0.32% 106
2017
Q3
$218M Buy
12,205,587
+4,143,929
+51% +$74.2M 0.27% 123
2017
Q2
$133M Buy
+8,061,658
New +$133M 0.17% 156
2016
Q1
Sell
-180,901
Closed -$1.6M 736
2015
Q4
$1.6M Buy
+180,901
New +$1.6M ﹤0.01% 643
2014
Q3
Sell
-10,700
Closed -$153K 731
2014
Q2
$153K Sell
10,700
-5,800
-35% -$82.9K ﹤0.01% 711
2014
Q1
$260K Hold
16,500
﹤0.01% 703
2013
Q4
$237K Sell
16,500
-7,300
-31% -$105K ﹤0.01% 698
2013
Q3
$274K Buy
23,800
+2,800
+13% +$32.2K ﹤0.01% 677
2013
Q2
$246K Buy
+21,000
New +$246K ﹤0.01% 684