Mirae Asset Global Investments
MCHP icon

Mirae Asset Global Investments’s Microchip Technology MCHP Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$70.4M Buy
1,000,341
+62,659
+7% +$4.41M 0.25% 80
2025
Q1
$45.7M Buy
937,682
+82,490
+10% +$4.02M 0.19% 103
2024
Q4
$49.7M Sell
855,192
-14,880
-2% -$864K 0.2% 90
2024
Q3
$69.4M Buy
870,072
+93,464
+12% +$7.45M 0.31% 66
2024
Q2
$69.5M Sell
776,608
-300,654
-28% -$26.9M 0.35% 57
2024
Q1
$92.3M Buy
1,077,262
+61,165
+6% +$5.24M 0.2% 93
2023
Q4
$91.6M Sell
1,016,097
-39,119
-4% -$3.53M 0.19% 119
2023
Q3
$82.4M Buy
1,055,216
+27,991
+3% +$2.18M 0.18% 123
2023
Q2
$91.9M Sell
1,027,225
-12,536
-1% -$1.12M 0.2% 99
2023
Q1
$87.1M Sell
1,039,761
-14,614
-1% -$1.22M 0.2% 100
2022
Q4
$74.1M Buy
1,054,375
+23,919
+2% +$1.68M 0.19% 120
2022
Q3
$62.9M Sell
1,030,456
-100,179
-9% -$6.11M 0.17% 129
2022
Q2
$65.7M Buy
1,130,635
+184,823
+20% +$10.7M 0.17% 135
2022
Q1
$71.1M Buy
945,812
+211,679
+29% +$15.9M 0.15% 146
2021
Q4
$63.9M Buy
734,133
+492,855
+204% +$42.9M 0.14% 164
2021
Q3
$37M Buy
241,278
+56,416
+31% +$8.66M 0.09% 253
2021
Q2
$27.7M Buy
184,862
+82,429
+80% +$12.3M 0.08% 318
2021
Q1
$15.9M Sell
102,433
-11,246
-10% -$1.75M 0.06% 390
2020
Q4
$15.7M Buy
113,679
+20,678
+22% +$2.86M 0.06% 375
2020
Q3
$9.56M Buy
93,001
+12,392
+15% +$1.27M 0.05% 399
2020
Q2
$8.49M Buy
80,609
+1,345
+2% +$142K 0.05% 367
2020
Q1
$5.38M Buy
79,264
+18,699
+31% +$1.27M 0.04% 423
2019
Q4
$6.34M Buy
60,565
+10,993
+22% +$1.15M 0.04% 452
2019
Q3
$4.61M Buy
49,572
+1,585
+3% +$147K 0.03% 486
2019
Q2
$4.17M Buy
47,987
+2,441
+5% +$212K 0.03% 514
2019
Q1
$3.76M Buy
45,546
+1,572
+4% +$130K 0.03% 479
2018
Q4
$3.16M Buy
43,974
+2,792
+7% +$201K 0.03% 488
2018
Q3
$3.25M Sell
41,182
-3,803
-8% -$300K 0.02% 526
2018
Q2
$4.09M Buy
44,985
+880
+2% +$80K 0.06% 216
2018
Q1
$4.03M Buy
44,105
+25,985
+143% +$2.37M 0.05% 220
2017
Q4
$1.59M Buy
18,120
+2,704
+18% +$238K 0.02% 394
2017
Q3
$1.38M Buy
15,416
+4,142
+37% +$371K 0.03% 382
2017
Q2
$869K Buy
11,274
+2,182
+24% +$168K 0.02% 413
2017
Q1
$671K Buy
9,092
+4,273
+89% +$315K 0.01% 422
2016
Q4
$309K Sell
4,819
-6,757
-58% -$433K 0.01% 453
2016
Q3
$719K Buy
+11,576
New +$719K 0.01% 386