Gateway Investment Advisers’s Xilinx Inc XLNX Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q1
Sell
-2,833
Closed -$601K 572
2021
Q4
$601K Buy
2,833
+362
+15% +$76.8K 0.01% 389
2021
Q3
$373K Sell
2,471
-49
-2% -$7.4K ﹤0.01% 450
2021
Q2
$364K Sell
2,520
-57
-2% -$8.23K ﹤0.01% 457
2021
Q1
$319K Sell
2,577
-55
-2% -$6.81K ﹤0.01% 470
2020
Q4
$373K Sell
2,632
-84
-3% -$11.9K ﹤0.01% 444
2020
Q3
$283K Sell
2,716
-101
-4% -$10.5K ﹤0.01% 455
2020
Q2
$277K Sell
2,817
-814
-22% -$80K ﹤0.01% 474
2020
Q1
$283K Buy
3,631
+260
+8% +$20.3K ﹤0.01% 460
2019
Q4
$330K Sell
3,371
-313
-8% -$30.6K ﹤0.01% 476
2019
Q3
$353K Sell
3,684
-7,133
-66% -$683K ﹤0.01% 486
2019
Q2
$1.28M Sell
10,817
-591
-5% -$69.7K 0.01% 417
2019
Q1
$1.45M Sell
11,408
-966
-8% -$122K 0.01% 394
2018
Q4
$1.05M Sell
12,374
-489
-4% -$41.7K 0.01% 453
2018
Q3
$1.03M Sell
12,863
-315
-2% -$25.2K 0.01% 456
2018
Q2
$860K Sell
13,178
-1,139
-8% -$74.3K 0.01% 491
2018
Q1
$1.03M Sell
14,317
-515
-3% -$37.2K 0.01% 476
2017
Q4
$1M Sell
14,832
-1,667
-10% -$112K 0.01% 494
2017
Q3
$1.17M Sell
16,499
-522
-3% -$37K 0.01% 478
2017
Q2
$1.1M Sell
17,021
-72
-0.4% -$4.63K 0.01% 470
2017
Q1
$990K Sell
17,093
-1,985
-10% -$115K 0.01% 476
2016
Q4
$1.15M Sell
19,078
-388
-2% -$23.4K 0.01% 461
2016
Q3
$1.06M Sell
19,466
-255
-1% -$13.9K 0.01% 468
2016
Q2
$910K Sell
19,721
-30
-0.2% -$1.38K 0.01% 497
2016
Q1
$937K Sell
19,751
-249,974
-93% -$11.9M 0.01% 479
2015
Q4
$12.7M Sell
269,725
-4,200
-2% -$197K 0.11% 185
2015
Q3
$11.6M Sell
273,925
-2,559
-0.9% -$108K 0.1% 191
2015
Q2
$12.2M Sell
276,484
-776
-0.3% -$34.3K 0.1% 184
2015
Q1
$11.7M Sell
277,260
-690
-0.2% -$29.2K 0.1% 197
2014
Q4
$12M Sell
277,950
-51,939
-16% -$2.25M 0.1% 195
2014
Q3
$14M Buy
329,889
+100
+0% +$4.24K 0.11% 188
2014
Q2
$15.6M Buy
329,789
+4,033
+1% +$191K 0.12% 182
2014
Q1
$17.7M Sell
325,756
-15,578
-5% -$845K 0.14% 165
2013
Q4
$15.7M Sell
341,334
-400
-0.1% -$18.4K 0.13% 174
2013
Q3
$16M Buy
341,734
+2,044
+0.6% +$95.8K 0.14% 169
2013
Q2
$13.5M Buy
+339,690
New +$13.5M 0.12% 180