IRF
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IBM Retirement Fund’s Microchip Technology MCHP Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q2
Sell
-8,668
Closed -$651K 285
2022
Q1
$651K Sell
8,668
-273
-3% -$20.5K 0.09% 202
2021
Q4
$778K Buy
8,941
+1,371
+18% +$119K 0.1% 186
2021
Q3
$1.16M Buy
7,570
+575
+8% +$88.3K 0.09% 197
2021
Q2
$1.05M Sell
6,995
-1,490
-18% -$223K 0.08% 220
2021
Q1
$1.32M Sell
8,485
-531
-6% -$82.4K 0.09% 184
2020
Q4
$1.25M Buy
9,016
+1,144
+15% +$158K 0.09% 207
2020
Q3
$809K Buy
7,872
+2,384
+43% +$245K 0.07% 245
2020
Q2
$578K Sell
5,488
-52
-0.9% -$5.48K 0.07% 239
2020
Q1
$376K Buy
5,540
+2,094
+61% +$142K 0.07% 287
2019
Q4
$361K Sell
3,446
-121
-3% -$12.7K 0.06% 263
2019
Q3
$331K Sell
3,567
-44
-1% -$4.08K 0.06% 281
2019
Q2
$313K Buy
3,611
+33
+0.9% +$2.86K 0.06% 302
2019
Q1
$297K Buy
3,578
+125
+4% +$10.4K 0.06% 294
2018
Q4
$248K Sell
3,453
-302
-8% -$21.7K 0.06% 299
2018
Q3
$296K Sell
3,755
-670
-15% -$52.8K 0.07% 317
2018
Q2
$402K Sell
4,425
-601
-12% -$54.6K 0.08% 269
2018
Q1
$459K Sell
5,026
-536
-10% -$49K 0.08% 263
2017
Q4
$534K Buy
5,562
+52
+0.9% +$4.99K 0.09% 264
2017
Q3
$548K Buy
5,510
+341
+7% +$33.9K 0.1% 253
2017
Q2
$446K Buy
5,169
+2,828
+121% +$244K 0.08% 290
2017
Q1
$230K Sell
2,341
-17,751
-88% -$1.74M 0.07% 296
2016
Q4
$1.36M Buy
20,092
+339
+2% +$23K 0.06% 313
2016
Q3
$1.23M Sell
19,753
-5,165
-21% -$321K 0.06% 329
2016
Q2
$1.32M Buy
24,918
+393
+2% +$20.8K 0.05% 380
2016
Q1
$1.23M Sell
24,525
-26,632
-52% -$1.34M 0.05% 402
2015
Q4
$2.38M Buy
51,157
+4,291
+9% +$200K 0.05% 422
2015
Q3
$2.07M Sell
46,866
-2,512
-5% -$111K 0.04% 434
2015
Q2
$2.34M Buy
49,378
+119
+0.2% +$5.64K 0.04% 425
2015
Q1
$2.41M Sell
49,259
-89
-0.2% -$4.35K 0.05% 429
2014
Q4
$2.23M Buy
49,348
+2,200
+5% +$99.2K 0.04% 451
2014
Q3
$2.25M Sell
47,148
-3,941
-8% -$188K 0.05% 418
2014
Q2
$2.48M Buy
51,089
+381
+0.8% +$18.5K 0.05% 403
2014
Q1
$2.42M Sell
50,708
-27,958
-36% -$1.33M 0.05% 406
2013
Q4
$3.52M Sell
78,666
-2,678
-3% -$120K 0.05% 421
2013
Q3
$3.28M Sell
81,344
-12,067
-13% -$486K 0.04% 439
2013
Q2
$3.48M Buy
+93,411
New +$3.48M 0.04% 440