Harvest Fund Management’s Micron Technology MU Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$15.3M Sell
124,058
-38,939
-24% -$4.8M 0.72% 21
2025
Q1
$14.2M Buy
162,997
+20,433
+14% +$1.78M 0.7% 24
2024
Q4
$12M Buy
142,564
+90,844
+176% +$7.65M 0.56% 30
2024
Q3
$5.36M Sell
51,720
-56,998
-52% -$5.91M 0.32% 57
2024
Q2
$14.3M Buy
108,718
+45,602
+72% +$6M 1.03% 23
2024
Q1
$7.44M Buy
63,116
+45,176
+252% +$5.32M 0.67% 26
2023
Q4
$1.53M Buy
17,940
+4,582
+34% +$391K 0.24% 61
2023
Q3
$909K Buy
13,358
+1,142
+9% +$77.7K 0.16% 76
2023
Q2
$771K Buy
12,216
+5,394
+79% +$340K 0.16% 77
2023
Q1
$412K Buy
6,822
+5,151
+308% +$311K 0.09% 113
2022
Q4
$83K Buy
1,671
+391
+31% +$19.4K 0.02% 378
2022
Q3
$64K Sell
1,280
-649
-34% -$32.5K 0.02% 376
2022
Q2
$107K Hold
1,929
0.03% 282
2022
Q1
$150K Sell
1,929
-910
-32% -$70.8K 0.03% 272
2021
Q4
$267K Buy
2,839
+2,455
+639% +$231K 0.05% 196
2021
Q3
$27K Sell
384
-1,967
-84% -$138K 0.01% 557
2021
Q2
$188K Hold
2,351
0.02% 159
2021
Q1
$207K Buy
2,351
+473
+25% +$41.6K 0.02% 138
2020
Q4
$141K Buy
1,878
+1,235
+192% +$92.7K 0.01% 198
2020
Q3
$30K Sell
643
-2,135
-77% -$99.6K ﹤0.01% 449
2020
Q2
$138K Sell
2,778
-2,658
-49% -$132K 0.01% 191
2020
Q1
$219K Buy
5,436
+2,441
+82% +$98.3K 0.03% 114
2019
Q4
$2.57M Sell
2,995
-820
-21% -$704K 0.27% 24
2019
Q3
$163K Buy
3,815
+3,264
+592% +$139K 0.02% 141
2019
Q2
$21K Sell
551
-4,332
-89% -$165K ﹤0.01% 357
2019
Q1
$202K Buy
+4,883
New +$202K 0.03% 112
2018
Q4
Sell
-3,622
Closed -$164K 406
2018
Q3
$164K Buy
3,622
+1,649
+84% +$74.7K 0.03% 199
2018
Q2
$103K Hold
1,973
0.02% 115
2018
Q1
$102K Buy
1,973
+543
+38% +$28.1K 0.02% 116
2017
Q4
$59K Hold
1,430
0.01% 160
2017
Q3
$56K Buy
+1,430
New +$56K 0.01% 142