Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$1.38M Buy
31,219
+1,106
+4% +$50.7K 0.08% 234
2025
Q4
$1.23M Sell
30,113
-3,057
-9% -$115K 0.07% 245
2025
Q3
$1.22M Buy
33,170
+4,365
+15% +$106K 0.07% 252
2025
Q2
$594K Sell
28,805
-622
-2% -$12.9K 0.03% 355
2025
Q1
$668K Sell
29,427
-470
-2% -$10.3K 0.06% 268
2024
Q4
$599K Sell
29,897
-1,058
-3% -$23.8K 0.04% 341
2024
Q3
$726K Buy
+30,955
New +$773K 0.04% 313
2024
Q2
Sell
-31,992
Closed -$1.06M 336
2024
Q1
$1.06M Sell
31,992
-5,675
-15% -$253K 0.09% 214
2023
Q4
$1.89M Buy
37,667
+7,551
+25% +$307K 0.15% 135
2023
Q3
$1.07M Sell
30,116
-10,927
-27% -$381K 0.11% 182
2023
Q2
$1.37M Buy
41,043
+6,153
+18% +$193K 0.11% 181
2023
Q1
$1.14M Sell
34,890
-4,758
-12% -$135K 0.12% 167
2022
Q4
$1.05M Sell
39,648
-3,009
-7% -$83.6K 0.09% 210
2022
Q3
$1.1M Buy
42,657
+3,337
+8% +$114K 0.1% 186
2022
Q2
$1.45M Sell
39,320
-3,738
-9% -$162K 0.13% 155
2022
Q1
$2.13M Buy
43,058
+9,025
+27% +$447K 0.16% 131
2021
Q4
$1.75M Buy
34,033
+1,564
+5% +$80K 0.14% 166
2021
Q3
$1.73M Sell
32,469
-2,705
-8% -$147K 0.16% 145
2021
Q2
$1.98M Sell
35,174
-11,931
-25% -$700K 0.18% 130
2021
Q1
$3.02M Buy
47,105
+2,020
+4% +$120K 0.3% 83
2020
Q4
$2.25M Sell
45,085
-1,769
-4% -$86.4K 0.26% 100
2020
Q3
$2.43M Sell
46,854
-20,035
-30% -$1.04M 0.4% 72
2020
Q2
$4M Buy
66,889
+18,275
+38% +$1.09M 0.56% 39
2020
Q1
$2.63K Sell
48,614
-1,285
-3% -$76K 0.07% 74
2019
Q4
$2.99M Sell
49,899
-5,665
-10% -$317K 0.52% 41
2019
Q3
$2.86M Buy
55,564
+4,602
+9% +$226K 0.54% 40
2019
Q2
$2.44M Sell
50,962
-765
-1% -$37.9K 0.49% 42
2019
Q1
$2.78M Buy
51,727
+3,095
+6% +$157K 0.6% 37
2018
Q4
$2.28M Buy
48,632
+2,378
+5% +$111K 0.59% 38
2018
Q3
$2.19M Sell
46,254
-807
-2% -$39.3K 0.49% 44
2018
Q2
$2.34M Buy
47,061
+3,007
+7% +$160K 0.55% 37
2018
Q1
$2.29M Sell
44,054
-1,589
-3% -$75.5K 0.58% 38
2017
Q4
$2.11M Sell
45,643
-5,633
-11% -$246K 0.53% 47
2017
Q3
$1.95M Buy
51,276
+5,380
+12% +$191K 0.51% 49
2017
Q2
$1.55M Buy
45,896
+7,262
+19% +$260K 0.27% 58
2017
Q1
$1.39M Buy
38,634
+100
+0.3% +$3.62K 0.43% 54
2016
Q4
$1.4M Sell
38,534
-453
-1% -$16.2K 0.46% 54
2016
Q3
$1.47M Buy
38,987
+2,881
+8% +$102K 0.11% 48
2016
Q2
$1.18M Sell
36,106
-623
-2% -$19.5K 0.47% 51
2016
Q1
$1.19M Sell
36,729
-2,780
-7% -$85.3K 0.47% 52
2015
Q4
$1.36M Buy
39,509
+509
+1% +$17.2K 0.56% 44
2015
Q3
$1.18M Sell
39,000
-1,000
-3% -$28.9K 0.98% 25
2015
Q2
$1.22M Buy
40,000
+2,166
+6% +$70K 0.51% 47
2015
Q1
$1.18M Sell
37,834
-178
-0.5% -$6.01K 0.51% 46
2014
Q4
$1.38M Sell
38,012
-17,920
-32% -$623K 0.6% 44
2014
Q3
$1.95M Sell
55,932
-83,170
-60% -$2.82M 0.69% 34
2014
Q2
$4.3M Sell
139,102
-27,107
-16% -$743K 1.34% 16
2014
Q1
$4.29M Buy
166,209
+67,190
+68% +$1.68M 1.48% 16
2013
Q4
$2.57M Sell
99,019
-31,307
-24% -$757K 1.36% 18
2013
Q3
$2.99M Buy
130,326
+12,928
+11% +$298K 1.45% 18
2013
Q2
$2.85M Buy
+117,398
New +$2.77M 1.44% 17

Other funds holding INTC

NWAM LLC's INTC Position: Q1 2026 in Review

NWAM LLC increased its Intel (INTC) stake by 3.7% in Q1 2026, buying an estimated $50.7K and bringing the position to 31,219 shares worth $1.38M. The position accounts for 0.08% of the portfolio, ranked #234.

NWAM LLC first reported a position in INTC in Q2 2013 and has held it in 51 quarters since. The position peaked at $4.3M in Q2 2014. 2,568 funds tracked by Wall St. Rank hold INTC as of Q1 2026.

  • NWAM LLC held 31,219 shares of Intel worth $1.38M as of Q1 2026.
  • NWAM LLC bought 1,106 Intel shares in Q1 2026, an estimated $50.7K.
  • Intel made up 0.08% of NWAM LLC's portfolio in Q1 2026, its #234 holding.
  • NWAM LLC first reported a position in Intel in Q2 2013 and has held it in 51 quarters since.
  • NWAM LLC's Intel position peaked at $4.3M in Q2 2014.
  • 2,568 funds tracked by Wall St. Rank held Intel as of Q1 2026.

Based on NWAM LLC's 13F filing for Q1 2026, filed 4 May 2026.