Bridges Investment Management’s Intel INTC Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$369K Buy
16,493
+88
+0.5% +$1.97K 0.01% 322
2025
Q1
$373K Sell
16,405
-7,181
-30% -$163K 0.01% 309
2024
Q4
$473K Sell
23,586
-2,408
-9% -$48.3K 0.01% 293
2024
Q3
$610K Buy
25,994
+216
+0.8% +$5.07K 0.01% 260
2024
Q2
$798K Buy
25,778
+14,828
+135% +$459K 0.01% 218
2024
Q1
$484K Hold
10,950
0.02% 162
2023
Q4
$550K Sell
10,950
-100
-0.9% -$5.03K 0.02% 161
2023
Q3
$393K Sell
11,050
-1,750
-14% -$62.2K 0.01% 171
2023
Q2
$428K Sell
12,800
-300
-2% -$10K 0.01% 173
2023
Q1
$428K Sell
13,100
-2,500
-16% -$81.7K 0.02% 177
2022
Q4
$412K Sell
15,600
-3,417
-18% -$90.3K 0.02% 177
2022
Q3
$490K Sell
19,017
-950
-5% -$24.5K 0.02% 173
2022
Q2
$747K Sell
19,967
-400
-2% -$15K 0.03% 156
2022
Q1
$1.01M Sell
20,367
-3,365
-14% -$167K 0.03% 149
2021
Q4
$1.22M Sell
23,732
-300
-1% -$15.4K 0.04% 141
2021
Q3
$1.28M Sell
24,032
-1,410
-6% -$75.1K 0.04% 141
2021
Q2
$1.43M Sell
25,442
-1,207
-5% -$67.8K 0.04% 136
2021
Q1
$1.71M Sell
26,649
-4,912
-16% -$314K 0.05% 126
2020
Q4
$1.57M Sell
31,561
-14,936
-32% -$744K 0.05% 125
2020
Q3
$2.41M Sell
46,497
-10,509
-18% -$544K 0.08% 105
2020
Q2
$3.41M Sell
57,006
-7,471
-12% -$447K 0.12% 91
2020
Q1
$3.49M Sell
64,477
-1,192
-2% -$64.5K 0.16% 89
2019
Q4
$3.93M Sell
65,669
-6,142
-9% -$368K 0.15% 97
2019
Q3
$3.7M Sell
71,811
-1,172
-2% -$60.4K 0.14% 99
2019
Q2
$3.49M Buy
72,983
+13
+0% +$622 0.13% 98
2019
Q1
$3.92M Sell
72,970
-370
-0.5% -$19.9K 0.16% 98
2018
Q4
$3.44M Buy
73,340
+10,399
+17% +$488K 0.16% 102
2018
Q3
$2.98M Buy
62,941
+4,195
+7% +$198K 0.15% 111
2018
Q2
$2.92M Buy
58,746
+4,000
+7% +$199K 0.13% 112
2018
Q1
$2.85M Buy
54,746
+17,486
+47% +$911K 0.13% 109
2017
Q4
$1.72M Buy
37,260
+4,130
+12% +$191K 0.14% 97
2017
Q3
$1.26M Buy
33,130
+15,284
+86% +$582K 0.12% 89
2017
Q2
$602K Buy
17,846
+3,275
+22% +$110K 0.08% 94
2017
Q1
$525K Sell
14,571
-3,164
-18% -$114K 0.07% 97
2016
Q4
$643K Buy
17,735
+6,800
+62% +$247K 0.09% 97
2016
Q3
$413K Hold
10,935
0.07% 104
2016
Q2
$359K Buy
10,935
+400
+4% +$13.1K 0.06% 108
2016
Q1
$341K Sell
10,535
-2,328
-18% -$75.4K 0.06% 106
2015
Q4
$443K Buy
12,863
+544
+4% +$18.7K 0.08% 101
2015
Q3
$375K Hold
12,319
0.07% 111
2015
Q2
$375K Buy
12,319
+1,361
+12% +$41.4K 0.07% 111
2015
Q1
$342K Sell
10,958
-84
-0.8% -$2.62K 0.06% 117
2014
Q4
$401K Buy
11,042
+1,500
+16% +$54.5K 0.07% 108
2014
Q3
$332K Buy
9,542
+1,000
+12% +$34.8K 0.06% 113
2014
Q2
$264K Sell
8,542
-800
-9% -$24.7K 0.05% 122
2014
Q1
$241K Buy
+9,342
New +$241K 0.05% 118
2013
Q4
Sell
-14,006
Closed -$321K 127
2013
Q3
$321K Sell
14,006
-10,300
-42% -$236K 0.08% 107
2013
Q2
$589K Buy
+24,306
New +$589K 0.16% 88