People's United Financial’s Microchip Technology MCHP Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2022
Q1
$513K Buy
6,827
+635
+10% +$47.7K 0.01% 447
2021
Q4
$539K Sell
6,192
-74
-1% -$6.44K 0.01% 472
2021
Q3
$481K Hold
6,266
0.01% 521
2021
Q2
$469K Sell
6,266
-1,280
-17% -$95.8K 0.01% 524
2021
Q1
$586K Sell
7,546
-1,324
-15% -$103K 0.01% 469
2020
Q4
$613K Buy
8,870
+116
+1% +$8.02K 0.02% 426
2020
Q3
$450K Sell
8,754
-234
-3% -$12K 0.01% 457
2020
Q2
$473K Sell
8,988
-2,352
-21% -$124K 0.01% 431
2020
Q1
$384K Sell
11,340
-1,624
-13% -$55K 0.01% 424
2019
Q4
$679K Sell
12,964
-1,530
-11% -$80.1K 0.02% 434
2019
Q3
$673K Sell
14,494
-1,966
-12% -$91.3K 0.02% 457
2019
Q2
$714K Sell
16,460
-21,042
-56% -$913K 0.02% 458
2019
Q1
$1.56M Sell
37,502
-1,554
-4% -$64.5K 0.05% 298
2018
Q4
$1.4M Buy
39,056
+16,584
+74% +$596K 0.05% 291
2018
Q3
$887K Sell
22,472
-1,080
-5% -$42.6K 0.03% 379
2018
Q2
$1.07M Sell
23,552
-3,346
-12% -$152K 0.03% 418
2018
Q1
$1.23M Sell
26,898
-23,358
-46% -$1.07M 0.04% 325
2017
Q4
$2.21M Sell
50,256
-4,608
-8% -$202K 0.07% 221
2017
Q3
$2.46M Sell
54,864
-6,976
-11% -$313K 0.08% 198
2017
Q2
$2.39M Sell
61,840
-9,056
-13% -$350K 0.08% 203
2017
Q1
$2.62M Sell
70,896
-7,116
-9% -$263K 0.09% 187
2016
Q4
$2.5M Buy
78,012
+19,296
+33% +$619K 0.09% 175
2016
Q3
$1.82M Sell
58,716
-12,372
-17% -$384K 0.1% 163
2016
Q2
$1.8M Sell
71,088
-45,366
-39% -$1.15M 0.1% 161
2016
Q1
$2.81M Sell
116,454
-76,836
-40% -$1.85M 0.15% 126
2015
Q4
$4.5M Buy
193,290
+1,788
+0.9% +$41.6K 0.24% 97
2015
Q3
$4.13M Buy
191,502
+9,196
+5% +$198K 0.23% 98
2015
Q2
$4.32M Sell
182,306
-6,924
-4% -$164K 0.23% 104
2015
Q1
$4.63M Sell
189,230
-34
-0% -$831 0.23% 99
2014
Q4
$4.27M Sell
189,264
-16,802
-8% -$379K 0.22% 109
2014
Q3
$4.87M Buy
206,066
+7,824
+4% +$185K 0.26% 87
2014
Q2
$4.84M Buy
198,242
+7,812
+4% +$191K 0.26% 88
2014
Q1
$4.55M Buy
190,430
+17,054
+10% +$407K 0.27% 88
2013
Q4
$3.88M Buy
173,376
+23,428
+16% +$524K 0.22% 92
2013
Q3
$3.02M Buy
149,948
+36,052
+32% +$726K 0.19% 92
2013
Q2
$2.12M Buy
+113,896
New +$2.12M 0.14% 106