BCIM
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British Columbia Investment Management’s Advanced Micro Devices AMD Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$36.3M Sell
255,961
-125,744
-33% -$17.8M 0.21% 95
2025
Q1
$39.2M Sell
381,705
-113,071
-23% -$11.6M 0.24% 91
2024
Q4
$59.8M Buy
494,776
+151,749
+44% +$18.3M 0.36% 56
2024
Q3
$56.3M Buy
343,027
+33,466
+11% +$5.49M 0.34% 58
2024
Q2
$50.2M Buy
309,561
+116,020
+60% +$18.8M 0.3% 65
2024
Q1
$34.9M Buy
193,541
+7,560
+4% +$1.36M 0.24% 88
2023
Q4
$27.4M Buy
185,981
+39,549
+27% +$5.83M 0.22% 91
2023
Q3
$15.1M Buy
146,432
+996
+0.7% +$102K 0.14% 117
2023
Q2
$16.6M Buy
145,436
+1,282
+0.9% +$146K 0.15% 112
2023
Q1
$14.1M Buy
144,154
+903
+0.6% +$88.5K 0.15% 110
2022
Q4
$9.28M Sell
143,251
-17,343
-11% -$1.12M 0.1% 179
2022
Q3
$10.2M Sell
160,594
-29,190
-15% -$1.85M 0.11% 162
2022
Q2
$14.5M Sell
189,784
-62,745
-25% -$4.8M 0.14% 127
2022
Q1
$27.6M Buy
252,529
+39,267
+18% +$4.29M 0.18% 101
2021
Q4
$30.7M Sell
213,262
-11,449
-5% -$1.65M 0.17% 104
2021
Q3
$23.1M Buy
224,711
+612
+0.3% +$63K 0.14% 125
2021
Q2
$21.1M Buy
224,099
+26,728
+14% +$2.51M 0.13% 144
2021
Q1
$15.5M Sell
197,371
-1,216
-0.6% -$95.5K 0.11% 175
2020
Q4
$18.2M Sell
198,587
-4,720
-2% -$433K 0.13% 137
2020
Q3
$16.7M Buy
203,307
+15,872
+8% +$1.3M 0.14% 127
2020
Q2
$9.86M Buy
187,435
+71,594
+62% +$3.77M 0.1% 194
2020
Q1
$5.27M Sell
115,841
-127,395
-52% -$5.79M 0.09% 193
2019
Q4
$11.2M Sell
243,236
-159,911
-40% -$7.33M 0.08% 211
2019
Q3
$11.7M Buy
403,147
+206,785
+105% +$5.99M 0.11% 171
2019
Q2
$5.96M Buy
196,362
+9,443
+5% +$287K 0.05% 386
2019
Q1
$4.77M Sell
186,919
-168,241
-47% -$4.29M 0.04% 437
2018
Q4
$6.56M Sell
355,160
-39,223
-10% -$724K 0.06% 336
2018
Q3
$12.2M Sell
394,383
-130,919
-25% -$4.04M 0.13% 175
2018
Q2
$7.87M Buy
525,302
+217,077
+70% +$3.25M 0.07% 323
2018
Q1
$3.1M Buy
308,225
+40,606
+15% +$408K 0.02% 601
2017
Q4
$2.75M Sell
267,619
-81,898
-23% -$842K 0.02% 615
2017
Q3
$4.46M Hold
349,517
0.03% 495
2017
Q2
$4.36M Sell
349,517
-8,641
-2% -$108K 0.03% 503
2017
Q1
$5.21M Buy
+358,158
New +$5.21M 0.04% 464
2015
Q1
Sell
-118,295
Closed -$316K 716
2014
Q4
$316K Hold
118,295
﹤0.01% 746
2014
Q3
$403K Hold
118,295
﹤0.01% 698
2014
Q2
$496K Buy
118,295
+11,126
+10% +$46.7K ﹤0.01% 685
2014
Q1
$430K Hold
107,169
﹤0.01% 697
2013
Q4
$415K Hold
107,169
﹤0.01% 709
2013
Q3
$408K Sell
107,169
-270,161
-72% -$1.03M ﹤0.01% 694
2013
Q2
$1.54M Buy
+377,330
New +$1.54M 0.01% 576