Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2024
Q2
$258K Sell
8,325
-1,986
-19% -$65.1K 0.02% 236
2024
Q1
$455K Sell
10,311
-1,231
-11% -$54.9K 0.04% 193
2023
Q4
$580K Buy
11,542
+3,474
+43% +$141K 0.06% 176
2023
Q3
$287K Sell
8,068
-1,942
-19% -$67.6K 0.03% 208
2023
Q2
$335K Buy
10,010
+331
+3% +$10.4K 0.04% 202
2023
Q1
$316K Sell
9,679
-4,140
-30% -$117K 0.04% 205
2022
Q4
$365K Sell
13,819
-367
-3% -$10.2K 0.04% 206
2022
Q3
$365K Sell
14,186
-2,353
-14% -$80.2K 0.05% 184
2022
Q2
$618K Sell
16,539
-10,947
-40% -$474K 0.08% 152
2022
Q1
$1.36M Sell
27,486
-2,743
-9% -$136K 0.15% 116
2021
Q4
$1.56M Sell
30,229
-2,574
-8% -$132K 0.17% 111
2021
Q3
$1.75M Sell
32,803
-9,383
-22% -$509K 0.22% 101
2021
Q2
$2.37M Sell
42,186
-9,633
-19% -$565K 0.3% 87
2021
Q1
$3.32M Sell
51,819
-42,507
-45% -$2.53M 0.48% 68
2020
Q4
$4.7M Sell
94,326
-59,298
-39% -$2.9M 0.72% 41
2020
Q3
$7.95M Sell
153,624
-38,102
-20% -$1.98M 1.33% 15
2020
Q2
$11.5M Sell
191,726
-5,971
-3% -$357K 2.07% 10
2020
Q1
$10.7M Sell
197,697
-1,612
-0.8% -$95.4K 2.14% 8
2019
Q4
$11.9M Sell
199,309
-3,677
-2% -$206K 1.97% 8
2019
Q3
$10.5M Sell
202,986
-16,517
-8% -$812K 1.95% 8
2019
Q2
$10.5M Buy
219,503
+5,110
+2% +$253K 1.85% 9
2019
Q1
$11.5M Buy
214,393
+4,201
+2% +$213K 2.15% 5
2018
Q4
$9.86M Buy
210,192
+11,858
+6% +$555K 2.07% 6
2018
Q3
$9.38M Buy
198,334
+1,167
+0.6% +$56.8K 1.66% 9
2018
Q2
$9.8M Sell
197,167
-3,872
-2% -$206K 1.85% 8
2018
Q1
$10.5M Buy
201,039
+3,657
+2% +$174K 2.45% 5
2017
Q4
$9.11M Sell
197,382
-1,916
-1% -$83.6K 1.75% 7
2017
Q3
$7.59M Sell
199,298
-2,036
-1% -$72.4K 1.57% 12
2017
Q2
$6.79M Buy
201,334
+20,030
+11% +$717K 1.47% 12
2017
Q1
$6.54M Buy
181,304
+34,506
+24% +$1.25M 1.58% 11
2016
Q4
$5.32M Buy
146,798
+8,846
+6% +$317K 1.55% 12
2016
Q3
$5.21M Buy
137,952
+7,463
+6% +$264K 1.73% 8
2016
Q2
$4.28M Buy
130,489
+15,506
+13% +$486K 1.63% 12
2016
Q1
$3.72M Buy
114,983
+22,654
+25% +$695K 1.63% 12
2015
Q4
$3.18M Buy
92,329
+12,631
+16% +$427K 1.54% 14
2015
Q3
$2.4M Buy
79,698
+10,283
+15% +$297K 1.36% 19
2015
Q2
$2.11M Buy
69,415
+1,109
+2% +$35.9K 1.18% 30
2015
Q1
$2.14M Buy
68,306
+6,099
+10% +$206K 1.27% 25
2014
Q4
$2.26M Buy
62,207
+1,227
+2% +$42.7K 1.41% 19
2014
Q3
$2.12M Buy
60,980
+1,952
+3% +$66.1K 1.42% 20
2014
Q2
$1.82M Sell
59,028
-5,194
-8% -$142K 1.26% 28
2014
Q1
$1.66M Buy
64,222
+1,547
+2% +$38.6K 1.18% 30
2013
Q4
$1.63M Buy
+62,675
New +$1.52M 1.29% 26

Other funds holding INTC

Girard Partners's INTC Position: Q2 2024 in Review

Girard Partners reduced its Intel (INTC) stake by 19% in Q2 2024, selling an estimated $65.1K and leaving 8,325 shares worth $258K. The position accounts for 0.02% of the portfolio, ranked #236.

Girard Partners first reported a position in INTC in Q4 2013 and has held it in 43 quarters since. The position peaked at $11.9M in Q4 2019. 2,426 funds tracked by Wall St. Rank hold INTC as of Q2 2024.

  • Girard Partners held 8,325 shares of Intel worth $258K as of Q2 2024.
  • Girard Partners sold 1,986 Intel shares in Q2 2024, an estimated $65.1K.
  • Intel made up 0.02% of Girard Partners's portfolio in Q2 2024, its #236 holding.
  • Girard Partners first reported a position in Intel in Q4 2013 and has held it in 43 quarters since.
  • Girard Partners's Intel position peaked at $11.9M in Q4 2019.
  • 2,426 funds tracked by Wall St. Rank held Intel as of Q2 2024.

Based on Girard Partners's 13F filing for Q2 2024, filed 12 Aug 2024.