Laurel Wealth Advisors (California)’s Micron Technology MU Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q4
$464K Buy
9,283
+319
+4% +$15.9K 0.05% 376
2022
Q3
$449K Sell
8,964
-55
-0.6% -$2.76K 0.05% 368
2022
Q2
$499K Buy
9,019
+600
+7% +$33.2K 0.05% 358
2022
Q1
$656K Sell
8,419
-1,693
-17% -$132K 0.05% 342
2021
Q4
$942K Buy
10,112
+3,161
+45% +$294K 0.07% 274
2021
Q3
$493K Sell
6,951
-866
-11% -$61.4K 0.09% 236
2021
Q2
$664K Buy
7,817
+1,609
+26% +$137K 0.09% 228
2021
Q1
$548K Buy
6,208
+1,679
+37% +$148K 0.08% 241
2020
Q4
$340K Buy
+4,529
New +$340K 0.05% 312
2020
Q3
Sell
-4,117
Closed -$212K 406
2020
Q2
$212K Sell
4,117
-821
-17% -$42.3K 0.04% 365
2020
Q1
$208K Buy
+4,938
New +$208K 0.05% 337
2018
Q4
Sell
-3,524
Closed -$159K 379
2018
Q3
$159K Sell
3,524
-1,215
-26% -$54.8K 0.04% 373
2018
Q2
$248K Sell
4,739
-2,065
-30% -$108K 0.07% 306
2018
Q1
$354K Buy
6,804
+415
+6% +$21.6K 0.11% 211
2017
Q4
$262K Buy
6,389
+490
+8% +$20.1K 0.08% 278
2017
Q3
$232K Buy
+5,899
New +$232K 0.08% 259
2016
Q2
Hold
0
281
2016
Q1
Hold
0
297
2015
Q4
Hold
0
278