Eaton Vance Management’s Microchip Technology MCHP Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q3
$132M Sell
2,169,115
-5,513
-0.3% -$336K 0.2% 109
2022
Q2
$126M Buy
2,174,628
+67,710
+3% +$3.93M 0.18% 127
2022
Q1
$158M Buy
2,106,918
+229,973
+12% +$17.3M 0.18% 113
2021
Q4
$163M Buy
1,876,945
+28,233
+2% +$2.46M 0.2% 102
2021
Q3
$141M Sell
1,848,712
-19,270
-1% -$1.47M 0.2% 110
2021
Q2
$140M Sell
1,867,982
-45,630
-2% -$3.42M 0.19% 118
2021
Q1
$149M Sell
1,913,612
-14,988
-0.8% -$1.16M 0.22% 106
2020
Q4
$133M Sell
1,928,600
-8,140
-0.4% -$562K 0.21% 112
2020
Q3
$99.5M Sell
1,936,740
-11,264
-0.6% -$579K 0.18% 120
2020
Q2
$103M Sell
1,948,004
-11,144
-0.6% -$587K 0.21% 112
2020
Q1
$66.4M Sell
1,959,148
-6,352
-0.3% -$215K 0.16% 125
2019
Q4
$103M Buy
1,965,500
+6,162
+0.3% +$323K 0.2% 116
2019
Q3
$91M Sell
1,959,338
-11,870
-0.6% -$551K 0.2% 122
2019
Q2
$85.5M Sell
1,971,208
-31,300
-2% -$1.36M 0.19% 120
2019
Q1
$83.1M Sell
2,002,508
-47,524
-2% -$1.97M 0.19% 125
2018
Q4
$73.7M Buy
2,050,032
+418,622
+26% +$15.1M 0.19% 124
2018
Q3
$64.4M Sell
1,631,410
-34,516
-2% -$1.36M 0.14% 155
2018
Q2
$75.8M Sell
1,665,926
-1,652,014
-50% -$75.1M 0.18% 139
2018
Q1
$152M Buy
3,317,940
+1,767,426
+114% +$80.7M 0.19% 134
2017
Q4
$68.1M Sell
1,550,514
-5,486
-0.4% -$241K 0.17% 144
2017
Q3
$69.8M Buy
1,556,000
+64,040
+4% +$2.87M 0.18% 137
2017
Q2
$57.6M Buy
1,491,960
+200,256
+16% +$7.73M 0.15% 151
2017
Q1
$47.7M Sell
1,291,704
-28,486
-2% -$1.05M 0.13% 166
2016
Q4
$42.3M Buy
1,320,190
+22,566
+2% +$724K 0.12% 172
2016
Q3
$40.3M Sell
1,297,624
-14,658
-1% -$455K 0.12% 169
2016
Q2
$33.3M Buy
1,312,282
+532
+0% +$13.5K 0.1% 177
2016
Q1
$31.6M Sell
1,311,750
-271,138
-17% -$6.53M 0.1% 168
2015
Q4
$36.8M Sell
1,582,888
-16,838
-1% -$392K 0.11% 164
2015
Q3
$34.5M Buy
1,599,726
+92,042
+6% +$1.98M 0.11% 166
2015
Q2
$35.8M Buy
1,507,684
+100,682
+7% +$2.39M 0.11% 164
2015
Q1
$34.4M Buy
1,407,002
+112,214
+9% +$2.74M 0.1% 163
2014
Q4
$29.2M Sell
1,294,788
-65,832
-5% -$1.48M 0.09% 175
2014
Q3
$32.1M Buy
1,360,620
+49,544
+4% +$1.17M 0.1% 169
2014
Q2
$32M Buy
1,311,076
+98,754
+8% +$2.41M 0.09% 171
2014
Q1
$29M Buy
1,212,322
+391,570
+48% +$9.35M 0.09% 185
2013
Q4
$18.4M Buy
820,752
+455,490
+125% +$10.2M 0.05% 234
2013
Q3
$7.36M Buy
365,262
+342,730
+1,521% +$6.9M 0.02% 326
2013
Q2
$420K Buy
+22,532
New +$420K ﹤0.01% 716