JPMorgan Chase & Co’s INPHI CORPORATION IPHI Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q2
Sell
-1,865,289
Closed -$333M 5836
2021
Q1
$333M Buy
1,865,289
+65,490
+4% +$11.7M 0.04% 393
2020
Q4
$289M Sell
1,799,799
-370,051
-17% -$59.4M 0.04% 400
2020
Q3
$245M Buy
2,169,850
+188,873
+10% +$21.3M 0.04% 390
2020
Q2
$233M Sell
1,980,977
-258,039
-12% -$30.3M 0.04% 379
2020
Q1
$177M Buy
2,239,016
+118,853
+6% +$9.41M 0.04% 377
2019
Q4
$157M Buy
2,120,163
+168,089
+9% +$12.4M 0.03% 471
2019
Q3
$119M Sell
1,952,074
-858,662
-31% -$52.4M 0.02% 571
2019
Q2
$140M Sell
2,810,736
-387,265
-12% -$19.4M 0.03% 528
2019
Q1
$140M Buy
3,198,001
+168,926
+6% +$7.39M 0.03% 510
2018
Q4
$97.4M Sell
3,029,075
-100,255
-3% -$3.22M 0.02% 575
2018
Q3
$119M Buy
3,129,330
+515,606
+20% +$19.6M 0.02% 575
2018
Q2
$85.2M Buy
2,613,724
+846,182
+48% +$27.6M 0.02% 661
2018
Q1
$53.2M Buy
1,767,542
+74,293
+4% +$2.24M 0.01% 825
2017
Q4
$62M Buy
1,693,249
+357,422
+27% +$13.1M 0.01% 795
2017
Q3
$52.7M Sell
1,335,827
-39,146
-3% -$1.54M 0.01% 826
2017
Q2
$47.2M Buy
1,374,973
+157,222
+13% +$5.39M 0.01% 863
2017
Q1
$59.4M Sell
1,217,751
-99,885
-8% -$4.88M 0.01% 775
2016
Q4
$58.8M Buy
1,317,636
+240,521
+22% +$10.7M 0.01% 734
2016
Q3
$46.9M Sell
1,077,115
-53,944
-5% -$2.35M 0.01% 798
2016
Q2
$36.2M Sell
1,131,059
-82,909
-7% -$2.66M 0.01% 902
2016
Q1
$40.5M Buy
1,213,968
+49,481
+4% +$1.65M 0.01% 842
2015
Q4
$31.5M Sell
1,164,487
-393,537
-25% -$10.6M 0.01% 935
2015
Q3
$37.5M Buy
1,558,024
+256,368
+20% +$6.16M 0.01% 851
2015
Q2
$29.8M Sell
1,301,656
-508,188
-28% -$11.6M 0.01% 1062
2015
Q1
$32.3M Sell
1,809,844
-333,037
-16% -$5.94M 0.01% 1047
2014
Q4
$39.6M Sell
2,142,881
-144,420
-6% -$2.67M 0.01% 942
2014
Q3
$32.9M Sell
2,287,301
-27,655
-1% -$398K 0.01% 1020
2014
Q2
$34M Sell
2,314,956
-419,040
-15% -$6.15M 0.01% 1029
2014
Q1
$44M Buy
2,733,996
+76,857
+3% +$1.24M 0.01% 859
2013
Q4
$34.3M Sell
2,657,139
-8,939
-0.3% -$115K 0.01% 950
2013
Q3
$35.8M Buy
2,666,078
+488,296
+22% +$6.56M 0.01% 937
2013
Q2
$24M Buy
+2,177,782
New +$24M 0.01% 1074