IRF
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IBM Retirement Fund’s Amphenol APH Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q2
Sell
-9,276
Closed -$699K 40
2022
Q1
$699K Sell
9,276
-417
-4% -$31.4K 0.1% 188
2021
Q4
$848K Sell
9,693
-6,745
-41% -$590K 0.11% 171
2021
Q3
$1.2M Buy
16,438
+48
+0.3% +$3.52K 0.09% 187
2021
Q2
$1.12M Sell
16,390
-3,411
-17% -$233K 0.09% 206
2021
Q1
$1.31M Buy
19,801
+9,076
+85% +$599K 0.09% 187
2020
Q4
$1.4M Buy
10,725
+1,340
+14% +$175K 0.1% 173
2020
Q3
$1.02M Buy
9,385
+2,636
+39% +$285K 0.09% 188
2020
Q2
$647K Sell
6,749
-160
-2% -$15.3K 0.08% 206
2020
Q1
$504K Buy
6,909
+2,575
+59% +$188K 0.09% 216
2019
Q4
$469K Sell
4,334
-143
-3% -$15.5K 0.08% 206
2019
Q3
$432K Sell
4,477
-53
-1% -$5.11K 0.08% 220
2019
Q2
$435K Buy
4,530
+18
+0.4% +$1.73K 0.08% 221
2019
Q1
$426K Buy
4,512
+86
+2% +$8.12K 0.08% 217
2018
Q4
$359K Sell
4,426
-394
-8% -$32K 0.08% 217
2018
Q3
$453K Sell
4,820
-858
-15% -$80.6K 0.1% 222
2018
Q2
$495K Sell
5,678
-917
-14% -$79.9K 0.1% 219
2018
Q1
$568K Sell
6,595
-648
-9% -$55.8K 0.11% 219
2017
Q4
$694K Sell
7,243
-366
-5% -$35.1K 0.12% 207
2017
Q3
$712K Buy
7,609
+341
+5% +$31.9K 0.13% 194
2017
Q2
$599K Buy
7,268
+3,930
+118% +$324K 0.11% 230
2017
Q1
$317K Sell
3,338
-24,753
-88% -$2.35M 0.09% 233
2016
Q4
$1.98M Sell
28,091
-128
-0.5% -$9.03K 0.08% 232
2016
Q3
$1.83M Sell
28,219
-7,348
-21% -$477K 0.09% 239
2016
Q2
$2.13M Sell
35,567
-962
-3% -$57.6K 0.08% 262
2016
Q1
$2.2M Sell
36,529
-38,560
-51% -$2.32M 0.08% 250
2015
Q4
$3.92M Buy
75,089
+3,721
+5% +$194K 0.08% 274
2015
Q3
$3.73M Sell
71,368
-4,159
-6% -$217K 0.08% 262
2015
Q2
$4.38M Sell
75,527
-2,385
-3% -$138K 0.08% 251
2015
Q1
$4.59M Sell
77,912
-127
-0.2% -$7.48K 0.09% 252
2014
Q4
$4.2M Buy
78,039
+40,749
+109% +$2.19M 0.08% 271
2014
Q3
$3.77M Sell
37,290
-3,088
-8% -$312K 0.08% 277
2014
Q2
$3.87M Sell
40,378
-847
-2% -$81.1K 0.07% 282
2014
Q1
$3.77M Sell
41,225
-22,793
-36% -$2.09M 0.08% 285
2013
Q4
$5.71M Sell
64,018
-2,207
-3% -$197K 0.07% 286
2013
Q3
$5.12M Sell
66,225
-9,558
-13% -$740K 0.07% 313
2013
Q2
$5.91M Buy
+75,783
New +$5.91M 0.07% 287