Millennium Management
XLNX

Millennium Management’s Xilinx Inc XLNX Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q1
Sell
-1,719,448
Closed -$365M 6601
2021
Q4
$365M Buy
1,719,448
+325,397
+23% +$69M 0.19% 15
2021
Q3
$210M Sell
1,394,051
-871,282
-38% -$132M 0.13% 35
2021
Q2
$328M Buy
2,265,333
+431,924
+24% +$62.5M 0.2% 16
2021
Q1
$227M Sell
1,833,409
-380,168
-17% -$47.1M 0.16% 27
2020
Q4
$314M Buy
2,213,577
+1,590,896
+255% +$226M 0.23% 24
2020
Q3
$64.9K Buy
622,681
+370,286
+147% +$38.6K 0.08% 133
2020
Q2
$24.8M Buy
252,395
+243,314
+2,679% +$23.9M 0.03% 453
2020
Q1
$708K Sell
9,081
-3,718
-29% -$290K ﹤0.01% 2149
2019
Q4
$1.25M Buy
+12,799
New +$1.25M ﹤0.01% 2354
2019
Q3
Hold
0
3926
2019
Q2
Sell
-823,972
Closed -$104M 3933
2019
Q1
$104M Buy
823,972
+28,508
+4% +$3.61M 0.16% 116
2018
Q4
$67.8M Sell
795,464
-227,298
-22% -$19.4M 0.11% 224
2018
Q3
$82M Sell
1,022,762
-368,714
-26% -$29.6M 0.1% 233
2018
Q2
$90.8M Buy
+1,391,476
New +$90.8M 0.12% 203
2018
Q1
Sell
-988,926
Closed -$66.7M 3882
2017
Q4
$66.7M Buy
988,926
+266,011
+37% +$17.9M 0.09% 280
2017
Q3
$51.2M Buy
722,915
+661,716
+1,081% +$46.9M 0.08% 326
2017
Q2
$3.94M Sell
61,199
-440,088
-88% -$28.3M 0.01% 1518
2017
Q1
$29M Sell
501,287
-206,309
-29% -$11.9M 0.05% 496
2016
Q4
$42.7M Sell
707,596
-613,458
-46% -$37M 0.09% 309
2016
Q3
$71.8M Buy
1,321,054
+591,415
+81% +$32.1M 0.12% 161
2016
Q2
$33.7M Sell
729,639
-396,401
-35% -$18.3M 0.08% 318
2016
Q1
$53.4M Buy
1,126,040
+646,630
+135% +$30.7M 0.13% 165
2015
Q4
$22.5M Buy
479,410
+147,177
+44% +$6.91M 0.05% 514
2015
Q3
$14.1M Sell
332,233
-889,633
-73% -$37.7M 0.03% 709
2015
Q2
$54M Buy
1,221,866
+855,429
+233% +$37.8M 0.1% 236
2015
Q1
$15.5M Sell
366,437
-922,436
-72% -$39M 0.03% 777
2014
Q4
$55.8M Buy
+1,288,873
New +$55.8M 0.12% 188
2014
Q3
Sell
-254,453
Closed -$12M 3207
2014
Q2
$12M Buy
+254,453
New +$12M 0.03% 680
2014
Q1
Sell
-857,522
Closed -$39.4M 2997
2013
Q4
$39.4M Sell
857,522
-123,852
-13% -$5.69M 0.12% 136
2013
Q3
$46M Buy
981,374
+89,798
+10% +$4.21M 0.15% 86
2013
Q2
$35.3M Buy
+891,576
New +$35.3M 0.11% 133