Jennison Associates’s Marvell Technology MRVL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$2.54M Sell
32,866
-1,328,713
-98% -$103M ﹤0.01% 427
2025
Q1
$83.8M Buy
1,361,579
+734,397
+117% +$45.2M 0.06% 146
2024
Q4
$69.3M Sell
627,182
-67,203
-10% -$7.42M 0.04% 177
2024
Q3
$50.1M Buy
694,385
+341
+0% +$24.6K 0.03% 230
2024
Q2
$48.5M Buy
694,044
+4,222
+0.6% +$295K 0.03% 214
2024
Q1
$48.9M Sell
689,822
-46,018
-6% -$3.26M 0.03% 218
2023
Q4
$44.4M Buy
735,840
+11,326
+2% +$683K 0.03% 219
2023
Q3
$39.2M Buy
724,514
+10,437
+1% +$565K 0.03% 210
2023
Q2
$42.7M Sell
714,077
-73,332
-9% -$4.38M 0.04% 210
2023
Q1
$34.1M Buy
787,409
+88,133
+13% +$3.82M 0.03% 246
2022
Q4
$25.9M Sell
699,276
-5,521
-0.8% -$204K 0.03% 286
2022
Q3
$30.2M Buy
704,797
+46,519
+7% +$2M 0.03% 254
2022
Q2
$28.7M Buy
658,278
+91,227
+16% +$3.97M 0.03% 260
2022
Q1
$40.7M Sell
567,051
-2,738
-0.5% -$196K 0.03% 248
2021
Q4
$49.9M Sell
569,789
-447,907
-44% -$39.2M 0.03% 222
2021
Q3
$61.4M Sell
1,017,696
-48,771
-5% -$2.94M 0.04% 182
2021
Q2
$62.2M Sell
1,066,467
-200,759
-16% -$11.7M 0.04% 184
2021
Q1
$62.1M Sell
1,267,226
-189,106
-13% -$9.26M 0.05% 186
2020
Q4
$69.2M Sell
1,456,332
-642,574
-31% -$30.5M 0.05% 156
2020
Q3
$83.3M Sell
2,098,906
-219,060
-9% -$8.7M 0.07% 114
2020
Q2
$81.3M Sell
2,317,966
-405,462
-15% -$14.2M 0.07% 109
2020
Q1
$61.6M Sell
2,723,428
-810,298
-23% -$18.3M 0.07% 117
2019
Q4
$93.9M Sell
3,533,726
-1,808,725
-34% -$48M 0.09% 115
2019
Q3
$133M Sell
5,342,451
-61,056
-1% -$1.52M 0.14% 85
2019
Q2
$129M Sell
5,403,507
-1,972,285
-27% -$47.1M 0.13% 94
2019
Q1
$147M Buy
7,375,792
+533,146
+8% +$10.6M 0.15% 80
2018
Q4
$111M Sell
6,842,646
-769,090
-10% -$12.5M 0.12% 99
2018
Q3
$147M Buy
7,611,736
+2,449,407
+47% +$47.3M 0.14% 99
2018
Q2
$111M Buy
5,162,329
+278,777
+6% +$5.98M 0.11% 131
2018
Q1
$103M Buy
4,883,552
+1,286,409
+36% +$27M 0.1% 148
2017
Q4
$77.2M Buy
3,597,143
+678,106
+23% +$14.6M 0.08% 204
2017
Q3
$52.3M Buy
2,919,037
+699,719
+32% +$12.5M 0.05% 260
2017
Q2
$36.7M Buy
+2,219,318
New +$36.7M 0.04% 312