EARNEST Partners
XLNX

EARNEST Partners’s Xilinx Inc XLNX Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q1
Sell
-238,008
Closed -$50.5M 1196
2021
Q4
$50.5M Sell
238,008
-26,635
-10% -$5.65M 0.29% 118
2021
Q3
$40M Sell
264,643
-76,634
-22% -$11.6M 0.24% 129
2021
Q2
$49.4M Sell
341,277
-106,454
-24% -$15.4M 0.29% 117
2021
Q1
$55.5M Sell
447,731
-15,824
-3% -$1.96M 0.33% 108
2020
Q4
$65.7M Sell
463,555
-578,425
-56% -$82M 0.45% 92
2020
Q3
$109M Buy
1,041,980
+75,612
+8% +$7.88M 0.94% 28
2020
Q2
$95.1M Buy
966,368
+35,357
+4% +$3.48M 0.9% 36
2020
Q1
$72.6M Buy
931,011
+2,266
+0.2% +$177K 0.82% 44
2019
Q4
$90.8M Buy
928,745
+104,726
+13% +$10.2M 0.71% 57
2019
Q3
$79M Buy
824,019
+10,999
+1% +$1.05M 0.71% 56
2019
Q2
$95.9M Buy
813,020
+10,812
+1% +$1.27M 0.87% 35
2019
Q1
$102M Buy
802,208
+882
+0.1% +$112K 0.97% 29
2018
Q4
$68.2M Sell
801,326
-2,905
-0.4% -$247K 0.74% 51
2018
Q3
$64.5M Sell
804,231
-19,433
-2% -$1.56M 0.58% 76
2018
Q2
$53.8M Sell
823,664
-21,480
-3% -$1.4M 0.5% 81
2018
Q1
$61.1M Buy
845,144
+7,393
+0.9% +$534K 0.58% 74
2017
Q4
$56.5M Sell
837,751
-34,239
-4% -$2.31M 0.54% 79
2017
Q3
$61.8M Sell
871,990
-2,840
-0.3% -$201K 0.62% 68
2017
Q2
$56.3M Sell
874,830
-20,967
-2% -$1.35M 0.59% 73
2017
Q1
$51.9M Buy
895,797
+1,896
+0.2% +$110K 0.55% 76
2016
Q4
$54M Sell
893,901
-70,690
-7% -$4.27M 0.59% 69
2016
Q3
$52.4M Sell
964,591
-27,903
-3% -$1.52M 0.55% 73
2016
Q2
$45.8M Sell
992,494
-39,384
-4% -$1.82M 0.5% 77
2016
Q1
$48.9M Sell
1,031,878
-112,945
-10% -$5.36M 0.51% 74
2015
Q4
$53.8M Sell
1,144,823
-230,096
-17% -$10.8M 0.55% 63
2015
Q3
$58.3M Sell
1,374,919
-63,289
-4% -$2.68M 0.57% 64
2015
Q2
$63.5M Sell
1,438,208
-89,472
-6% -$3.95M 0.55% 64
2015
Q1
$64.6M Sell
1,527,680
-81,176
-5% -$3.43M 0.56% 64
2014
Q4
$69.6M Sell
1,608,856
-43,877
-3% -$1.9M 0.57% 62
2014
Q3
$70M Sell
1,652,733
-77,507
-4% -$3.28M 0.59% 61
2014
Q2
$81.9M Sell
1,730,240
-48,178
-3% -$2.28M 0.65% 55
2014
Q1
$96.5M Sell
1,778,418
-2,632
-0.1% -$143K 0.77% 41
2013
Q4
$81.8M Buy
+1,781,050
New +$81.8M 0.66% 56