New York State Common Retirement Fund
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New York State Common Retirement Fund’s Advanced Micro Devices AMD Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$318M Buy
2,239,239
+172,745
+8% +$24.5M 0.42% 34
2025
Q1
$212M Sell
2,066,494
-127,318
-6% -$13.1M 0.31% 52
2024
Q4
$265M Sell
2,193,812
-223,833
-9% -$27M 0.36% 39
2024
Q3
$397M Buy
2,417,645
+102,505
+4% +$16.8M 0.54% 26
2024
Q2
$376M Sell
2,315,140
-46,582
-2% -$7.56M 0.49% 27
2024
Q1
$426M Sell
2,361,722
-321,766
-12% -$58.1M 0.56% 23
2023
Q4
$396M Sell
2,683,488
-3,967
-0.1% -$585K 0.55% 23
2023
Q3
$276M Sell
2,687,455
-278,988
-9% -$28.7M 0.4% 42
2023
Q2
$338M Sell
2,966,443
-256,197
-8% -$29.2M 0.43% 37
2023
Q1
$316M Sell
3,222,640
-104,261
-3% -$10.2M 0.42% 40
2022
Q4
$215M Sell
3,326,901
-245,997
-7% -$15.9M 0.3% 65
2022
Q3
$226M Buy
3,572,898
+18,215
+0.5% +$1.15M 0.33% 52
2022
Q2
$272M Buy
3,554,683
+45,390
+1% +$3.47M 0.35% 52
2022
Q1
$384M Buy
3,509,293
+804,359
+30% +$87.9M 0.41% 42
2021
Q4
$389M Sell
2,704,934
-59,539
-2% -$8.57M 0.39% 46
2021
Q3
$284M Sell
2,764,473
-11,255
-0.4% -$1.16M 0.3% 57
2021
Q2
$261M Buy
2,775,728
+55,123
+2% +$5.18M 0.27% 69
2021
Q1
$214M Sell
2,720,605
-114,372
-4% -$8.98M 0.24% 84
2020
Q4
$260M Buy
2,834,977
+50,721
+2% +$4.65M 0.29% 64
2020
Q3
$228M Sell
2,784,256
-131,799
-5% -$10.8M 0.28% 66
2020
Q2
$153M Buy
2,916,055
+300,785
+12% +$15.8M 0.2% 104
2020
Q1
$119M Sell
2,615,270
-426,591
-14% -$19.4M 0.18% 113
2019
Q4
$140M Buy
3,041,861
+140,913
+5% +$6.46M 0.17% 120
2019
Q3
$84.1M Buy
2,900,948
+766,862
+36% +$22.2M 0.11% 193
2019
Q2
$64.8M Buy
2,134,086
+149,337
+8% +$4.54M 0.08% 239
2019
Q1
$50.7M Buy
1,984,749
+102,031
+5% +$2.6M 0.07% 286
2018
Q4
$34.8M Buy
1,882,718
+24,381
+1% +$450K 0.05% 362
2018
Q3
$57.4M Sell
1,858,337
-22,086
-1% -$682K 0.07% 277
2018
Q2
$28.2M Sell
1,880,423
-28,600
-1% -$429K 0.04% 519
2018
Q1
$19.2M Sell
1,909,023
-4,500
-0.2% -$45.2K 0.02% 702
2017
Q4
$19.7M Sell
1,913,523
-23,758
-1% -$244K 0.02% 697
2017
Q3
$24.7M Buy
1,937,281
+27,000
+1% +$344K 0.03% 546
2017
Q2
$23.8M Buy
1,910,281
+1,083,600
+131% +$13.5M 0.03% 555
2017
Q1
$12M Buy
826,681
+32,981
+4% +$480K 0.02% 874
2016
Q4
$9M Buy
793,700
+106,500
+15% +$1.21M 0.01% 986
2016
Q3
$4.75M Buy
687,200
+15,800
+2% +$109K 0.01% 1250
2016
Q2
$3.45M Buy
671,400
+66,800
+11% +$343K 0.01% 1376
2016
Q1
$1.72M Buy
604,600
+24,300
+4% +$69.3K ﹤0.01% 1673
2015
Q4
$1.67M Hold
580,300
﹤0.01% 1697
2015
Q3
$998K Sell
580,300
-344,931
-37% -$593K ﹤0.01% 1947
2015
Q2
$2.22M Sell
925,231
-352,574
-28% -$846K ﹤0.01% 1814
2015
Q1
$3.43M Sell
1,277,805
-188,000
-13% -$504K 0.01% 1402
2014
Q4
$3.91M Sell
1,465,805
-176,500
-11% -$471K 0.01% 1327
2014
Q3
$5.6M Sell
1,642,305
-21,200
-1% -$72.3K 0.01% 1142
2014
Q2
$6.97M Hold
1,663,505
0.01% 1112
2014
Q1
$6.67M Sell
1,663,505
-919,700
-36% -$3.69M 0.01% 1095
2013
Q4
$10M Hold
2,583,205
0.02% 915
2013
Q3
$9.82M Buy
2,583,205
+955,800
+59% +$3.63M 0.02% 889
2013
Q2
$6.64M Buy
+1,627,405
New +$6.64M 0.01% 982