KBC Group’s Xilinx Inc XLNX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q1
Sell
-313,035
Closed -$66.4M 1333
2021
Q4
$66.4M Buy
313,035
+284,879
+1,012% +$60.4M 0.22% 113
2021
Q3
$4.25M Sell
28,156
-26,518
-49% -$4M 0.02% 501
2021
Q2
$7.91M Sell
54,674
-23,418
-30% -$3.39M 0.01% 518
2021
Q1
$9.68M Buy
78,092
+366
+0.5% +$45.3K 0.02% 471
2020
Q4
$60.6M Sell
77,726
-12,364
-14% -$9.64M 0.03% 448
2020
Q3
$9.39M Buy
90,090
+15,270
+20% +$1.59M 0.03% 422
2020
Q2
$7.36M Buy
74,820
+41,422
+124% +$4.08M 0.02% 448
2020
Q1
$2.6M Buy
33,398
+6,212
+23% +$484K 0.02% 490
2019
Q4
$2.66M Sell
27,186
-42,732
-61% -$4.18M 0.02% 611
2019
Q3
$6.71M Buy
69,918
+180
+0.3% +$17.3K 0.05% 389
2019
Q2
$8.22M Sell
69,738
-29,554
-30% -$3.48M 0.06% 337
2019
Q1
$12.6M Sell
99,292
-73,815
-43% -$9.36M 0.1% 242
2018
Q4
$14.7M Buy
173,107
+127,364
+278% +$10.8M 0.16% 156
2018
Q3
$3.67M Sell
45,743
-137,498
-75% -$11M 0.03% 506
2018
Q2
$12M Buy
183,241
+158,768
+649% +$10.4M 0.1% 246
2018
Q1
$1.77M Sell
24,473
-112
-0.5% -$8.09K 0.02% 606
2017
Q4
$1.66M Sell
24,585
-6,364
-21% -$429K 0.01% 636
2017
Q3
$2.19M Hold
30,949
0.02% 586
2017
Q2
$1.99M Buy
30,949
+7,359
+31% +$473K 0.02% 590
2017
Q1
$1.37M Buy
23,590
+2,021
+9% +$117K 0.01% 750
2016
Q4
$1.3M Sell
21,569
-2,307
-10% -$139K 0.01% 775
2016
Q3
$1.3M Sell
23,876
-29,724
-55% -$1.62M 0.02% 683
2016
Q2
$2.47M Buy
53,600
+6,813
+15% +$314K 0.04% 486
2016
Q1
$2.22M Buy
46,787
+26,398
+129% +$1.25M 0.04% 467
2015
Q4
$958K Buy
20,389
+5,581
+38% +$262K 0.02% 645
2015
Q3
$628K Sell
14,808
-2,855
-16% -$121K 0.01% 717
2015
Q2
$780K Sell
17,663
-1,886
-10% -$83.3K 0.01% 777
2015
Q1
$827K Buy
19,549
+1,572
+9% +$66.5K 0.01% 782
2014
Q4
$778K Sell
17,977
-17
-0.1% -$736 0.01% 827
2014
Q3
$762K Sell
17,994
-10,466
-37% -$443K 0.03% 615
2014
Q2
$1.35M Buy
28,460
+3,095
+12% +$146K 0.02% 687
2014
Q1
$1.38M Sell
25,365
-10,548
-29% -$573K 0.02% 583
2013
Q4
$1.65M Sell
35,913
-16,349
-31% -$751K 0.03% 553
2013
Q3
$2.45M Sell
52,262
-33,273
-39% -$1.56M 0.04% 464
2013
Q2
$3.39M Buy
+85,535
New +$3.39M 0.06% 363