Jefferies Group’s Marvell Technology MRVL Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q3
$2.08M Sell
48,500
-15,000
-24% -$644K 0.02% 333
2022
Q2
$2.76M Buy
+63,500
New +$2.76M 0.02% 265
2022
Q1
Sell
-7,764
Closed -$679K 1200
2021
Q4
$679K Sell
7,764
-23,136
-75% -$2.02M ﹤0.01% 644
2021
Q3
$1.86M Buy
30,900
+3,374
+12% +$203K 0.01% 416
2021
Q2
$1.61M Sell
27,526
-134,469
-83% -$7.84M 0.01% 486
2021
Q1
$7.93M Sell
161,995
-320,005
-66% -$15.7M 0.07% 126
2020
Q4
$22.9M Buy
482,000
+394,500
+451% +$18.8M 0.18% 36
2020
Q3
$3.47M Buy
+87,500
New +$3.47M 0.04% 194
2020
Q2
Hold
0
1050
2020
Q1
Sell
-25,000
Closed -$664K 1461
2019
Q4
$664K Sell
25,000
-5,000
-17% -$133K 0.01% 915
2019
Q3
$749K Buy
30,000
+13,769
+85% +$344K 0.01% 907
2019
Q2
$387K Sell
16,231
-118,769
-88% -$2.83M ﹤0.01% 1055
2019
Q1
$2.69M Buy
135,000
+82,482
+157% +$1.64M 0.02% 362
2018
Q4
$850K Buy
+52,518
New +$850K 0.01% 687
2018
Q3
Sell
-61,011
Closed -$1.31M 1785
2018
Q2
$1.31M Buy
+61,011
New +$1.31M 0.01% 580
2018
Q1
Sell
-64,088
Closed -$1.38M 1737
2017
Q4
$1.38M Buy
64,088
+25,659
+67% +$551K 0.01% 635
2017
Q3
$688K Sell
38,429
-20,615
-35% -$369K ﹤0.01% 830
2017
Q2
$975K Buy
59,044
+46,494
+370% +$768K 0.01% 746
2017
Q1
$192K Sell
12,550
-84,130
-87% -$1.29M ﹤0.01% 1294
2016
Q4
$1.34M Sell
96,680
-53,300
-36% -$739K 0.01% 518
2016
Q3
$1.99M Sell
149,980
-321,307
-68% -$4.26M 0.01% 358
2016
Q2
$4.49M Buy
+471,287
New +$4.49M 0.02% 136
2016
Q1
Hold
0
1451
2015
Q4
Sell
-14,192
Closed -$128K 1424
2015
Q3
$128K Sell
14,192
-260,297
-95% -$2.35M ﹤0.01% 1135
2015
Q2
$3.62M Buy
274,489
+21,380
+8% +$282K 0.02% 246
2015
Q1
$3.72M Buy
253,109
+124,012
+96% +$1.82M 0.02% 215
2014
Q4
$1.87M Buy
+129,097
New +$1.87M 0.01% 291
2014
Q3
Sell
-41,126
Closed -$589K 1542
2014
Q2
$589K Buy
41,126
+14,207
+53% +$203K 0.01% 635
2014
Q1
$424K Sell
26,919
-64,813
-71% -$1.02M ﹤0.01% 753
2013
Q4
$1.32M Sell
91,732
-36,141
-28% -$520K 0.01% 289
2013
Q3
$1.47M Buy
127,873
+88,305
+223% +$1.02M 0.01% 313
2013
Q2
$464K Buy
+39,568
New +$464K 0.01% 565