Pictet Asset Management (UK)’s Microchip Technology MCHP Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q2
$348M Buy
4,648,342
+334,068
+8% +$25M 0.38% 68
2021
Q1
$335M Buy
4,314,274
+321,396
+8% +$24.9M 0.4% 65
2020
Q4
$276M Buy
3,992,878
+245,756
+7% +$17M 0.36% 78
2020
Q3
$193M Sell
3,747,122
-99,812
-3% -$5.13M 0.3% 99
2020
Q2
$203M Sell
3,846,934
-410,134
-10% -$21.6M 0.35% 87
2020
Q1
$144M Sell
4,257,068
-670,340
-14% -$22.7M 0.31% 92
2019
Q4
$258M Buy
4,927,408
+1,674,252
+51% +$87.7M 0.46% 55
2019
Q3
$151M Sell
3,253,156
-1,063,982
-25% -$49.4M 0.32% 88
2019
Q2
$187M Sell
4,317,138
-783,152
-15% -$33.9M 0.4% 65
2019
Q1
$212M Sell
5,100,290
-1,421,166
-22% -$58.9M 0.47% 48
2018
Q4
$235K Buy
6,521,456
+204,976
+3% +$7.37K 0.59% 26
2018
Q3
$249M Buy
6,316,480
+3,920,096
+164% +$155M 0.53% 34
2018
Q2
$109M Sell
2,396,384
-1,717,740
-42% -$78.1M 0.26% 124
2018
Q1
$188M Buy
4,114,124
+24,684
+0.6% +$1.13M 0.46% 52
2017
Q4
$180M Buy
4,089,440
+428,516
+12% +$18.8M 0.46% 53
2017
Q3
$164M Buy
3,660,924
+442,550
+14% +$19.9M 0.47% 51
2017
Q2
$134M Buy
3,218,374
+284,892
+10% +$11.9M 0.41% 66
2017
Q1
$108M Buy
2,933,482
+756,544
+35% +$27.9M 0.35% 80
2016
Q4
$69.8M Buy
2,176,938
+689,808
+46% +$22.1M 0.26% 112
2016
Q3
$46.2M Buy
1,487,130
+99,940
+7% +$3.11M 0.17% 160
2016
Q2
$35.8M Buy
1,387,190
+531,930
+62% +$13.7M 0.14% 197
2016
Q1
$19M Buy
855,260
+521,524
+156% +$11.6M 0.08% 270
2015
Q4
$7.77M Buy
333,736
+98,422
+42% +$2.29M 0.03% 462
2015
Q3
$5.07M Buy
235,314
+9,600
+4% +$207K 0.02% 555
2015
Q2
$4.84M Sell
225,714
-77,200
-25% -$1.65M 0.02% 596
2015
Q1
$7.22M Buy
302,914
+18,000
+6% +$429K 0.03% 496
2014
Q4
$6.43M Buy
284,914
+29,514
+12% +$666K 0.03% 512
2014
Q3
$6.03M Buy
255,400
+33,800
+15% +$798K 0.03% 491
2014
Q2
$5.41M Buy
221,600
+11,000
+5% +$268K 0.03% 533
2014
Q1
$5.03M Buy
210,600
+2,000
+1% +$47.8K 0.03% 528
2013
Q4
$4.67M Buy
208,600
+1,000
+0.5% +$22.4K 0.02% 527
2013
Q3
$4.18M Buy
207,600
+4,400
+2% +$88.6K 0.02% 558
2013
Q2
$3.79M Buy
+203,200
New +$3.79M 0.02% 560