CCM
LFUS icon

Channing Capital Management’s Littelfuse LFUS Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$82.1M Sell
361,900
-32,141
-8% -$7.29M 2.28% 12
2025
Q1
$77.5M Sell
394,041
-10,725
-3% -$2.11M 2.34% 9
2024
Q4
$95.4M Sell
404,766
-8,500
-2% -$2M 2.54% 7
2024
Q3
$110M Buy
413,266
+57,818
+16% +$15.3M 2.8% 1
2024
Q2
$90.8M Buy
355,448
+312,301
+724% +$79.8M 2.49% 3
2024
Q1
$10.5M Buy
+43,147
New +$10.5M 0.28% 59
2020
Q2
Sell
-252,036
Closed -$33.6M 113
2020
Q1
$33.6M Buy
252,036
+49,194
+24% +$6.56M 2.37% 8
2019
Q4
$38.8M Sell
202,842
-5,928
-3% -$1.13M 1.8% 21
2019
Q3
$37M Buy
208,770
+44,566
+27% +$7.9M 1.71% 29
2019
Q2
$29M Sell
164,204
-70,912
-30% -$12.5M 1.35% 36
2019
Q1
$42.9M Buy
235,116
+1,241
+0.5% +$226K 1.98% 18
2018
Q4
$40.1M Buy
233,875
+11,599
+5% +$1.99M 2.01% 21
2018
Q3
$44M Sell
222,276
-71,551
-24% -$14.2M 1.58% 34
2018
Q2
$67M Sell
293,827
-5,597
-2% -$1.28M 2.37% 10
2018
Q1
$62.3M Buy
299,424
+8,157
+3% +$1.7M 2.18% 15
2017
Q4
$57.6M Sell
291,267
-21,624
-7% -$4.28M 1.94% 24
2017
Q3
$61.3M Buy
312,891
+4,230
+1% +$829K 2.31% 11
2017
Q2
$50.9M Sell
308,661
-41,580
-12% -$6.86M 1.99% 18
2017
Q1
$56M Sell
350,241
-7,020
-2% -$1.12M 2.04% 19
2016
Q4
$54.2M Buy
357,261
+9,227
+3% +$1.4M 1.92% 24
2016
Q3
$44.8M Buy
348,034
+747
+0.2% +$96.2K 1.78% 22
2016
Q2
$41M Sell
347,287
-92,144
-21% -$10.9M 1.72% 23
2016
Q1
$54.1M Sell
439,431
-79,649
-15% -$9.81M 2.41% 6
2015
Q4
$55.5M Buy
519,080
+41,996
+9% +$4.49M 2.46% 4
2015
Q3
$43.5M Buy
477,084
+22,053
+5% +$2.01M 2.12% 10
2015
Q2
$43.2M Buy
455,031
+14,064
+3% +$1.33M 1.93% 14
2015
Q1
$43.8M Buy
440,967
+72,881
+20% +$7.24M 2% 16
2014
Q4
$35.6M Buy
368,086
+47,868
+15% +$4.63M 1.83% 13
2014
Q3
$27.3M Buy
320,218
+31,097
+11% +$2.65M 1.64% 17
2014
Q2
$26.9M Buy
289,121
+19,307
+7% +$1.79M 1.59% 15
2014
Q1
$25.3M Sell
269,814
-4,274
-2% -$400K 1.61% 13
2013
Q4
$25.5M Buy
274,088
+17,801
+7% +$1.65M 1.67% 10
2013
Q3
$20M Buy
256,287
+47,376
+23% +$3.71M 1.47% 20
2013
Q2
$15.6M Buy
+208,911
New +$15.6M 1.4% 20