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Eagle Global Advisors’s Intel INTC Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$684K Hold
30,551
0.03% 177
2025
Q1
$694K Hold
30,551
0.03% 181
2024
Q4
$613K Buy
+30,551
New +$613K 0.03% 181
2022
Q1
Sell
-3,976
Closed -$205K 245
2021
Q4
$205K Sell
3,976
-250
-6% -$12.9K 0.01% 230
2021
Q3
$225K Hold
4,226
0.01% 224
2021
Q2
$237K Sell
4,226
-7,000
-62% -$393K 0.02% 232
2021
Q1
$718K Sell
11,226
-100
-0.9% -$6.4K 0.05% 160
2020
Q4
$564K Sell
11,326
-590
-5% -$29.4K 0.04% 157
2020
Q3
$617K Sell
11,916
-225
-2% -$11.7K 0.06% 135
2020
Q2
$726K Hold
12,141
0.07% 135
2020
Q1
$657K Hold
12,141
0.07% 132
2019
Q4
$727K Sell
12,141
-23,100
-66% -$1.38M 0.04% 151
2019
Q3
$1.82M Hold
35,241
0.08% 120
2019
Q2
$1.69M Sell
35,241
-700
-2% -$33.5K 0.07% 127
2019
Q1
$1.93M Sell
35,941
-184,387
-84% -$9.9M 0.08% 119
2018
Q4
$10.3M Sell
220,328
-2,247
-1% -$105K 0.45% 53
2018
Q3
$10.5M Sell
222,575
-133
-0.1% -$6.29K 0.33% 57
2018
Q2
$11.1M Sell
222,708
-587
-0.3% -$29.2K 0.35% 55
2018
Q1
$11.6M Buy
223,295
+4,890
+2% +$255K 0.4% 53
2017
Q4
$10.1M Sell
218,405
-1,451
-0.7% -$67K 0.31% 61
2017
Q3
$8.37M Buy
219,856
+80,091
+57% +$3.05M 0.25% 70
2017
Q2
$4.72M Buy
139,765
+473
+0.3% +$16K 0.13% 105
2017
Q1
$5.02M Sell
139,292
-532
-0.4% -$19.2K 0.14% 100
2016
Q4
$5.07M Sell
139,824
-1,128
-0.8% -$40.9K 0.14% 102
2016
Q3
$5.32M Sell
140,952
-947
-0.7% -$35.8K 0.15% 100
2016
Q2
$4.65M Buy
141,899
+1,548
+1% +$50.8K 0.14% 108
2016
Q1
$4.54M Buy
140,351
+2,028
+1% +$65.6K 0.16% 108
2015
Q4
$4.77M Sell
138,323
-828
-0.6% -$28.5K 0.17% 110
2015
Q3
$4.19M Sell
139,151
-952
-0.7% -$28.7K 0.14% 121
2015
Q2
$4.26M Buy
140,103
+3,368
+2% +$102K 0.11% 128
2015
Q1
$4.28M Buy
136,735
+737
+0.5% +$23K 0.11% 125
2014
Q4
$4.94M Sell
135,998
-758
-0.6% -$27.5K 0.13% 117
2014
Q3
$4.76M Sell
136,756
-748
-0.5% -$26K 0.11% 114
2014
Q2
$4.25M Sell
137,504
-4,150
-3% -$128K 0.11% 121
2014
Q1
$3.66M Sell
141,654
-1,736
-1% -$44.8K 0.11% 126
2013
Q4
$3.72M Sell
143,390
-3,925
-3% -$102K 0.12% 132
2013
Q3
$3.38M Buy
+147,315
New +$3.38M 0.12% 132