British Columbia Investment Management’s Xilinx Inc XLNX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q1
Sell
-43,511
Closed -$9.23M 853
2021
Q4
$9.23M Sell
43,511
-1,870
-4% -$397K 0.05% 294
2021
Q3
$6.85M Sell
45,381
-12
-0% -$1.81K 0.04% 356
2021
Q2
$6.57M Buy
45,393
+5,249
+13% +$759K 0.04% 372
2021
Q1
$4.97M Sell
40,144
-1,212
-3% -$150K 0.04% 395
2020
Q4
$5.86M Sell
41,356
-815
-2% -$116K 0.04% 339
2020
Q3
$4.4M Buy
42,171
+2,296
+6% +$239K 0.04% 369
2020
Q2
$3.92M Buy
39,875
+12,368
+45% +$1.22M 0.04% 363
2020
Q1
$2.14M Sell
27,507
-32,018
-54% -$2.5M 0.04% 352
2019
Q4
$5.82M Buy
59,525
+24,852
+72% +$2.43M 0.04% 333
2019
Q3
$3.33M Sell
34,673
-32,056
-48% -$3.07M 0.03% 444
2019
Q2
$7.87M Buy
66,729
+19,618
+42% +$2.31M 0.07% 301
2019
Q1
$5.97M Sell
47,111
-16,591
-26% -$2.1M 0.05% 377
2018
Q4
$5.43M Buy
63,702
+7,898
+14% +$673K 0.05% 394
2018
Q3
$4.47M Sell
55,804
-20,809
-27% -$1.67M 0.05% 427
2018
Q2
$5M Sell
76,613
-17,708
-19% -$1.16M 0.04% 448
2018
Q1
$6.81M Buy
94,321
+2,675
+3% +$193K 0.05% 412
2017
Q4
$6.18M Buy
91,646
+15,406
+20% +$1.04M 0.04% 444
2017
Q3
$5.4M Sell
76,240
-2,139
-3% -$152K 0.04% 449
2017
Q2
$5.04M Sell
78,379
-38,722
-33% -$2.49M 0.04% 459
2017
Q1
$6.78M Sell
117,101
-4,461
-4% -$258K 0.05% 411
2016
Q4
$7.34M Buy
121,562
+12,659
+12% +$764K 0.06% 356
2016
Q3
$5.92M Sell
108,903
-6,357
-6% -$345K 0.06% 372
2016
Q2
$5.32M Sell
115,260
-62,628
-35% -$2.89M 0.05% 434
2016
Q1
$8.44M Buy
177,888
+33,993
+24% +$1.61M 0.08% 291
2015
Q4
$6.76M Buy
143,895
+94,193
+190% +$4.42M 0.07% 336
2015
Q3
$2.11M Sell
49,702
-6,484
-12% -$275K 0.02% 530
2015
Q2
$2.48M Sell
56,186
-6,448
-10% -$285K 0.02% 531
2015
Q1
$2.65M Sell
62,634
-14,586
-19% -$617K 0.02% 523
2014
Q4
$3.34M Sell
77,220
-28,764
-27% -$1.25M 0.03% 491
2014
Q3
$4.49M Sell
105,984
-1,338
-1% -$56.7K 0.04% 436
2014
Q2
$5.08M Sell
107,322
-36,149
-25% -$1.71M 0.04% 430
2014
Q1
$7.79M Sell
143,471
-47,052
-25% -$2.55M 0.07% 334
2013
Q4
$8.75M Sell
190,523
-22,740
-11% -$1.04M 0.07% 314
2013
Q3
$9.99M Sell
213,263
-2,380
-1% -$112K 0.08% 280
2013
Q2
$8.54M Buy
+215,643
New +$8.54M 0.07% 317