Chevy Chase Trust’s Advanced Micro Devices AMD Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$122M Buy
857,288
+6,552
+0.8% +$930K 0.35% 48
2025
Q1
$87.4M Sell
850,736
-2,033
-0.2% -$209K 0.28% 69
2024
Q4
$103M Sell
852,769
-16,545
-2% -$2M 0.31% 56
2024
Q3
$143M Sell
869,314
-14,348
-2% -$2.35M 0.44% 43
2024
Q2
$143M Sell
883,662
-12,291
-1% -$1.99M 0.46% 39
2024
Q1
$162M Sell
895,953
-8,167
-0.9% -$1.47M 0.53% 34
2023
Q4
$133M Sell
904,120
-5,554
-0.6% -$819K 0.48% 40
2023
Q3
$93.5M Sell
909,674
-18,312
-2% -$1.88M 0.37% 59
2023
Q2
$106M Sell
927,986
-10,561
-1% -$1.2M 0.4% 56
2023
Q1
$92M Buy
938,547
+5,753
+0.6% +$564K 0.36% 63
2022
Q4
$60.4M Sell
932,794
-58,502
-6% -$3.79M 0.26% 99
2022
Q3
$62.8M Buy
991,296
+7,071
+0.7% +$448K 0.27% 89
2022
Q2
$75.3M Sell
984,225
-4,414
-0.4% -$338K 0.31% 76
2022
Q1
$108M Buy
988,639
+259,638
+36% +$28.4M 0.37% 56
2021
Q4
$105M Sell
729,001
-20,942
-3% -$3.01M 0.34% 72
2021
Q3
$77.2M Sell
749,943
-29,481
-4% -$3.03M 0.27% 92
2021
Q2
$73.2M Sell
779,424
-39,066
-5% -$3.67M 0.25% 97
2021
Q1
$64.3M Sell
818,490
-52,353
-6% -$4.11M 0.23% 104
2020
Q4
$79.9M Sell
870,843
-4,941
-0.6% -$453K 0.28% 83
2020
Q3
$71.8M Sell
875,784
-68,308
-7% -$5.6M 0.28% 84
2020
Q2
$49.7M Sell
944,092
-50,076
-5% -$2.63M 0.2% 113
2020
Q1
$45.2M Buy
994,168
+63,610
+7% +$2.89M 0.21% 115
2019
Q4
$42.7M Buy
930,558
+24,049
+3% +$1.1M 0.16% 140
2019
Q3
$26.3M Buy
906,509
+166,175
+22% +$4.82M 0.11% 207
2019
Q2
$22.5M Buy
740,334
+5,676
+0.8% +$172K 0.09% 225
2019
Q1
$20.3M Buy
734,658
+11,081
+2% +$306K 0.08% 245
2018
Q4
$13.4M Buy
723,577
+19,415
+3% +$358K 0.07% 292
2018
Q3
$21.8M Buy
704,162
+11,130
+2% +$344K 0.09% 233
2018
Q2
$10.4M Sell
693,032
-3,060
-0.4% -$45.9K 0.05% 405
2018
Q1
$7M Sell
696,092
-14,331
-2% -$144K 0.03% 484
2017
Q4
$7.3M Buy
710,423
+8,535
+1% +$87.7K 0.03% 475
2017
Q3
$8.95M Buy
701,888
+34,303
+5% +$437K 0.04% 433
2017
Q2
$8.33M Buy
667,585
+2,574
+0.4% +$32.1K 0.04% 438
2017
Q1
$9.68M Buy
+665,011
New +$9.68M 0.05% 389
2013
Q3
Sell
-425,682
Closed -$1.74M 652
2013
Q2
$1.74M Buy
+425,682
New +$1.74M 0.02% 539