Franklin Resources
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Franklin Resources’s Intel INTC Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$29.2M Sell
1,302,998
-697,138
-35% -$15.6M 0.01% 804
2025
Q1
$45.4M Buy
2,000,136
+439,909
+28% +$9.99M 0.01% 636
2024
Q4
$31.3M Sell
1,560,227
-1,150,955
-42% -$23.1M 0.01% 770
2024
Q3
$63.6M Sell
2,711,182
-3,629,011
-57% -$85.1M 0.02% 529
2024
Q2
$196M Buy
6,340,193
+2,041,648
+47% +$63.2M 0.06% 281
2024
Q1
$190M Sell
4,298,545
-2,186,518
-34% -$96.6M 0.06% 295
2023
Q4
$326M Sell
6,485,063
-1,668,826
-20% -$83.9M 0.15% 172
2023
Q3
$290M Buy
8,153,889
+1,223,017
+18% +$43.5M 0.15% 171
2023
Q2
$232M Buy
6,930,872
+1,018,524
+17% +$34.1M 0.11% 210
2023
Q1
$193M Sell
5,912,348
-991,311
-14% -$32.4M 0.1% 239
2022
Q4
$182M Buy
6,903,659
+3,920,053
+131% +$104M 0.09% 249
2022
Q3
$76.9M Sell
2,983,606
-12,850,545
-81% -$331M 0.04% 430
2022
Q2
$592M Buy
15,834,151
+169,003
+1% +$6.32M 0.29% 81
2022
Q1
$776M Sell
15,665,148
-1,265,062
-7% -$62.7M 0.31% 77
2021
Q4
$872M Buy
16,930,210
+6,572,188
+63% +$338M 0.31% 76
2021
Q3
$552M Buy
10,358,022
+73,911
+0.7% +$3.94M 0.21% 130
2021
Q2
$577M Sell
10,284,111
-374,323
-4% -$21M 0.22% 126
2021
Q1
$682M Sell
10,658,434
-5,081,766
-32% -$325M 0.28% 99
2020
Q4
$784M Buy
15,740,200
+773,157
+5% +$38.5M 0.33% 76
2020
Q3
$775M Buy
14,967,043
+6,997,267
+88% +$362M 0.38% 62
2020
Q2
$487M Buy
7,969,776
+264,554
+3% +$16.2M 0.25% 107
2020
Q1
$417M Sell
7,705,222
-5,236,766
-40% -$283M 0.28% 96
2019
Q4
$775M Buy
12,941,988
+502,407
+4% +$30.1M 0.41% 65
2019
Q3
$638M Sell
12,439,581
-5,899,049
-32% -$303M 0.35% 76
2019
Q2
$878M Buy
18,338,630
+6,955,784
+61% +$333M 0.47% 53
2019
Q1
$611M Sell
11,382,846
-1,120,737
-9% -$60.2M 0.33% 89
2018
Q4
$587M Buy
12,503,583
+3,737,836
+43% +$175M 0.35% 80
2018
Q3
$415M Buy
8,765,747
+1,709,560
+24% +$80.8M 0.21% 130
2018
Q2
$351M Sell
7,056,187
-4,762,562
-40% -$237M 0.18% 144
2018
Q1
$615M Sell
11,818,749
-2,244,260
-16% -$117M 0.31% 91
2017
Q4
$649M Sell
14,063,009
-7,740,721
-36% -$357M 0.31% 90
2017
Q3
$830M Buy
21,803,730
+12,891,641
+145% +$491M 0.41% 66
2017
Q2
$301M Buy
8,912,089
+456,161
+5% +$15.4M 0.15% 178
2017
Q1
$305M Sell
8,455,928
-8,708,148
-51% -$314M 0.15% 174
2016
Q4
$623M Buy
17,164,076
+6,640,808
+63% +$241M 0.32% 86
2016
Q3
$397M Sell
10,523,268
-13,980,585
-57% -$527M 0.21% 129
2016
Q2
$804M Buy
24,503,853
+184,920
+0.8% +$6.07M 0.43% 55
2016
Q1
$787M Sell
24,318,933
-2,324,689
-9% -$75.2M 0.42% 56
2015
Q4
$918M Buy
26,643,622
+428,621
+2% +$14.8M 0.46% 50
2015
Q3
$790M Sell
26,215,001
-7,932,800
-23% -$239M 0.39% 67
2015
Q2
$1.04B Buy
34,147,801
+348,623
+1% +$10.6M 0.47% 46
2015
Q1
$1.06B Sell
33,799,178
-119,977
-0.4% -$3.75M 0.48% 48
2014
Q4
$1.23B Sell
33,919,155
-7,339,653
-18% -$266M 0.56% 36
2014
Q3
$1.44B Sell
41,258,808
-3,709,514
-8% -$129M 0.66% 29
2014
Q2
$1.39B Sell
44,968,322
-878,863
-2% -$27.2M 0.61% 32
2014
Q1
$1.18B Sell
45,847,185
-7,509,109
-14% -$194M 0.56% 37
2013
Q4
$1.39B Buy
53,356,294
+2,634,365
+5% +$68.4M 0.68% 25
2013
Q3
$1.16B Buy
50,721,929
+12,833,569
+34% +$294M 0.62% 27
2013
Q2
$918M Buy
+37,888,360
New +$918M 0.52% 39