British Columbia Investment Management’s Maxim Integrated Products MXIM Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q3
Sell
-49,591
Closed -$5.23M 847
2021
Q2
$5.23M Buy
49,591
+5,678
+13% +$598K 0.03% 427
2021
Q1
$4.01M Sell
43,913
-1,074
-2% -$98.1K 0.03% 443
2020
Q4
$3.99M Sell
44,987
-1,255
-3% -$111K 0.03% 436
2020
Q3
$3.13M Buy
46,242
+3,073
+7% +$208K 0.03% 457
2020
Q2
$2.62M Buy
43,169
+13,569
+46% +$822K 0.03% 470
2020
Q1
$1.44M Sell
29,600
-34,324
-54% -$1.67M 0.02% 451
2019
Q4
$3.93M Buy
63,924
+26,564
+71% +$1.63M 0.03% 439
2019
Q3
$2.16M Sell
37,360
-141,135
-79% -$8.17M 0.02% 552
2019
Q2
$10.7M Buy
178,495
+121,300
+212% +$7.26M 0.09% 217
2019
Q1
$3.04M Sell
57,195
-12,830
-18% -$682K 0.03% 560
2018
Q4
$3.56M Buy
70,025
+12,937
+23% +$658K 0.03% 527
2018
Q3
$3.22M Sell
57,088
-27,462
-32% -$1.55M 0.03% 502
2018
Q2
$4.96M Sell
84,550
-21,246
-20% -$1.25M 0.04% 450
2018
Q1
$6.37M Sell
105,796
-8,000
-7% -$482K 0.05% 433
2017
Q4
$5.95M Buy
113,796
+15,933
+16% +$833K 0.04% 455
2017
Q3
$4.67M Buy
97,863
+10,000
+11% +$477K 0.04% 481
2017
Q2
$3.95M Sell
87,863
-24,285
-22% -$1.09M 0.03% 525
2017
Q1
$5.04M Sell
112,148
-20,710
-16% -$931K 0.04% 476
2016
Q4
$5.12M Buy
132,858
+22,757
+21% +$878K 0.04% 448
2016
Q3
$4.4M Sell
110,101
-31,165
-22% -$1.24M 0.04% 470
2016
Q2
$5.04M Sell
141,266
-8,455
-6% -$302K 0.04% 447
2016
Q1
$5.51M Buy
149,721
+9,587
+7% +$353K 0.05% 414
2015
Q4
$5.33M Buy
140,134
+129,820
+1,259% +$4.93M 0.05% 421
2015
Q3
$344K Hold
10,314
﹤0.01% 696
2015
Q2
$357K Hold
10,314
﹤0.01% 714
2015
Q1
$359K Sell
10,314
-4,500
-30% -$157K ﹤0.01% 696
2014
Q4
$472K Sell
14,814
-15,665
-51% -$499K ﹤0.01% 695
2014
Q3
$922K Buy
30,479
+14,910
+96% +$451K 0.01% 621
2014
Q2
$526K Sell
15,569
-1,334
-8% -$45.1K ﹤0.01% 676
2014
Q1
$560K Sell
16,903
-20,250
-55% -$671K ﹤0.01% 664
2013
Q4
$1.04M Buy
37,153
+14,314
+63% +$400K 0.01% 611
2013
Q3
$681K Hold
22,839
0.01% 645
2013
Q2
$634K Buy
+22,839
New +$634K 0.01% 651