Meeder Asset Management’s Advanced Micro Devices AMD Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$105K Sell
742
-118
-14% -$16.7K 0.01% 291
2025
Q1
$88.4K Buy
860
+230
+37% +$23.6K 0.01% 327
2024
Q4
$76.1K Sell
630
-256
-29% -$30.9K 0.01% 318
2024
Q3
$145K Sell
886
-32,022
-97% -$5.25M 0.01% 246
2024
Q2
$5.34M Sell
32,908
-16,147
-33% -$2.62M 0.37% 51
2024
Q1
$8.85M Buy
49,055
+46,580
+1,882% +$8.41M 0.56% 44
2023
Q4
$365K Sell
2,475
-47,395
-95% -$6.99M 0.03% 204
2023
Q3
$5.13M Buy
49,870
+47,316
+1,853% +$4.87M 0.4% 59
2023
Q2
$291K Buy
2,554
+120
+5% +$13.7K 0.02% 234
2023
Q1
$239K Buy
+2,434
New +$239K 0.02% 275
2022
Q4
Sell
-20,272
Closed -$1.28M 835
2022
Q3
$1.28M Sell
20,272
-17,576
-46% -$1.11M 0.07% 199
2022
Q2
$2.89M Sell
37,848
-57,223
-60% -$4.38M 0.17% 113
2022
Q1
$10.4M Buy
+95,071
New +$10.4M 0.51% 41
2021
Q4
Sell
-10,295
Closed -$1.06M 1168
2021
Q3
$1.06M Buy
10,295
+1,538
+18% +$158K 0.06% 263
2021
Q2
$823K Buy
8,757
+1,139
+15% +$107K 0.04% 321
2021
Q1
$598K Buy
7,618
+264
+4% +$20.7K 0.03% 394
2020
Q4
$674K Sell
7,354
-31,492
-81% -$2.89M 0.15% 124
2020
Q3
$3.19M Sell
38,846
-2,171
-5% -$178K 0.21% 99
2020
Q2
$2.16M Buy
41,017
+37,963
+1,243% +$2M 0.14% 130
2020
Q1
$139K Buy
3,054
+1,201
+65% +$54.7K 0.01% 643
2019
Q4
$85K Buy
1,853
+531
+40% +$24.4K 0.01% 843
2019
Q3
$38K Sell
1,322
-5,336
-80% -$153K ﹤0.01% 1094
2019
Q2
$203K Sell
6,658
-4,507
-40% -$137K 0.01% 578
2019
Q1
$284K Sell
11,165
-39,114
-78% -$995K 0.02% 476
2018
Q4
$928K Buy
50,279
+29,759
+145% +$549K 0.08% 208
2018
Q3
$633K Buy
20,520
+19,831
+2,878% +$612K 0.05% 320
2018
Q2
$10.3K Sell
689
-73
-10% -$1.09K ﹤0.01% 1119
2018
Q1
$8K Buy
+762
New +$8K ﹤0.01% 1113
2017
Q2
Sell
-6,902
Closed -$100K 1640
2017
Q1
$100K Buy
+6,902
New +$100K 0.01% 558
2016
Q3
Sell
-4,174
Closed -$21K 750
2016
Q2
$21K Buy
+4,174
New +$21K ﹤0.01% 784
2014
Q1
Sell
-133,281
Closed -$516K 334
2013
Q4
$516K Buy
133,281
+3,030
+2% +$11.7K 0.09% 174
2013
Q3
$496K Buy
130,251
+430
+0.3% +$1.64K 0.09% 156
2013
Q2
$530K Buy
+129,821
New +$530K 0.11% 147