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Payden & Rygel’s Microchip Technology MCHP Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$338K Hold
4,800
0.03% 89
2025
Q1
$232K Hold
4,800
0.02% 108
2024
Q4
$275K Hold
4,800
0.02% 97
2024
Q3
$385K Hold
4,800
0.03% 99
2024
Q2
$439K Hold
4,800
0.04% 97
2024
Q1
$431K Hold
4,800
0.02% 105
2023
Q4
$433K Hold
4,800
0.03% 110
2023
Q3
$375K Hold
4,800
0.03% 112
2023
Q2
$430K Hold
4,800
0.03% 111
2023
Q1
$402K Hold
4,800
0.02% 106
2022
Q4
$337K Hold
4,800
0.02% 113
2022
Q3
$293K Hold
4,800
0.02% 111
2022
Q2
$279K Hold
4,800
0.02% 112
2022
Q1
$361K Hold
4,800
0.02% 103
2021
Q4
$418K Buy
4,800
+2,400
+100% +$209K 0.02% 103
2021
Q3
$368K Hold
2,400
0.02% 103
2021
Q2
$359K Hold
2,400
0.02% 111
2021
Q1
$373K Hold
2,400
0.02% 102
2020
Q4
$331K Hold
2,400
0.02% 93
2020
Q3
$247K Hold
2,400
0.01% 89
2020
Q2
$253K Hold
2,400
0.02% 83
2020
Q1
$163K Sell
2,400
-1,500
-38% -$102K 0.01% 84
2019
Q4
$408K Hold
3,900
0.03% 72
2019
Q3
$362K Hold
3,900
0.02% 69
2019
Q2
$338K Sell
3,900
-1,200
-24% -$104K 0.02% 77
2019
Q1
$423K Hold
5,100
0.03% 78
2018
Q4
$367K Hold
5,100
0.03% 76
2018
Q3
$402K Hold
5,100
0.03% 72
2018
Q2
$464K Hold
5,100
0.04% 75
2018
Q1
$466K Hold
5,100
0.04% 76
2017
Q4
$448K Hold
5,100
0.04% 78
2017
Q3
$458K Sell
5,100
-170,200
-97% -$15.3M 0.05% 80
2017
Q2
$13.5M Hold
175,300
1.18% 34
2017
Q1
$12.9M Hold
175,300
1.18% 37
2016
Q4
$11.2M Sell
175,300
-33,600
-16% -$2.16M 1.04% 44
2016
Q3
$13M Hold
208,900
1.3% 36
2016
Q2
$10.6M Hold
208,900
1.21% 41
2016
Q1
$10.1M Buy
208,900
+9,100
+5% +$439K 1.23% 38
2015
Q4
$9.3M Hold
199,800
1.23% 39
2015
Q3
$8.61M Hold
199,800
1.24% 40
2015
Q2
$9.48M Hold
199,800
1.25% 39
2015
Q1
$9.77M Buy
199,800
+88,200
+79% +$4.31M 1.27% 36
2014
Q4
$5.03M Sell
111,600
-76,000
-41% -$3.43M 0.96% 52
2014
Q3
$8.86M Buy
187,600
+25,200
+16% +$1.19M 1.75% 15
2014
Q2
$7.93M Buy
162,400
+70,500
+77% +$3.44M 2% 13
2014
Q1
$4.39M Hold
91,900
1.71% 23
2013
Q4
$4.11M Hold
91,900
1.4% 22
2013
Q3
$3.7M Sell
91,900
-6,700
-7% -$270K 1.32% 22
2013
Q2
$3.67M Buy
+98,600
New +$3.67M 1.43% 29