SIM
XLNX

Sadoff Investment Management’s Xilinx Inc XLNX Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q1
Sell
-386,644
Closed -$82M 112
2021
Q4
$82M Sell
386,644
-7,989
-2% -$1.69M 4.8% 4
2021
Q3
$59.6M Sell
394,633
-9,240
-2% -$1.4M 4.03% 7
2021
Q2
$58.4M Sell
403,873
-4,300
-1% -$622K 3.9% 9
2021
Q1
$50.6M Sell
408,173
-6,530
-2% -$809K 3.54% 11
2020
Q4
$58.8M Sell
414,703
-18,118
-4% -$2.57M 4.61% 4
2020
Q3
$45.1M Sell
432,821
-12,925
-3% -$1.35M 4% 7
2020
Q2
$43.9M Sell
445,746
-4,995
-1% -$491K 3.94% 8
2020
Q1
$35.1M Sell
450,741
-20,952
-4% -$1.63M 3.97% 8
2019
Q4
$46.1M Sell
471,693
-11,710
-2% -$1.14M 3.62% 10
2019
Q3
$46.4M Sell
483,403
-56,305
-10% -$5.4M 3.88% 10
2019
Q2
$63.6M Sell
539,708
-65,425
-11% -$7.71M 5.27% 3
2019
Q1
$76.7M Sell
605,133
-15,871
-3% -$2.01M 6.58% 1
2018
Q4
$52.9M Sell
621,004
-11,049
-2% -$941K 5.17% 2
2018
Q3
$50.7M Sell
632,053
-1,937
-0.3% -$155K 4.38% 6
2018
Q2
$41.4M Buy
633,990
+6,030
+1% +$394K 3.58% 11
2018
Q1
$45.4M Buy
627,960
+5,060
+0.8% +$366K 3.82% 8
2017
Q4
$42M Sell
622,900
-47,125
-7% -$3.18M 3.43% 11
2017
Q3
$47.5M Buy
670,025
+1,190
+0.2% +$84.3K 4.24% 4
2017
Q2
$43M Buy
668,835
+2,650
+0.4% +$170K 4.08% 5
2017
Q1
$38.6M Sell
666,185
-2,300
-0.3% -$133K 3.69% 6
2016
Q4
$40.4M Buy
668,485
+825
+0.1% +$49.8K 4.15% 4
2016
Q3
$36.3M Buy
667,660
+1,125
+0.2% +$61.1K 4.01% 4
2016
Q2
$30.7M Buy
666,535
+101
+0% +$4.66K 3.67% 7
2016
Q1
$31.6M Sell
666,434
-4,253
-0.6% -$202K 3.83% 5
2015
Q4
$31.5M Buy
670,687
+17,383
+3% +$816K 3.63% 7
2015
Q3
$27.7M Buy
653,304
+8,358
+1% +$354K 3.61% 11
2015
Q2
$28.5M Buy
644,946
+20,011
+3% +$884K 3.09% 13
2015
Q1
$26.4M Buy
624,935
+8,729
+1% +$369K 2.96% 16
2014
Q4
$26.7M Buy
616,206
+11,650
+2% +$504K 3.11% 13
2014
Q3
$25.6M Buy
604,556
+7,725
+1% +$327K 3.29% 12
2014
Q2
$28.2M Sell
596,831
-1,016
-0.2% -$48.1K 3.68% 6
2014
Q1
$32.4M Buy
597,847
+9,000
+2% +$488K 4.3% 4
2013
Q4
$27M Buy
588,847
+84
+0% +$3.86K 3.75% 10
2013
Q3
$27.6M Buy
588,763
+5,750
+1% +$269K 4.51% 5
2013
Q2
$23.1M Buy
+583,013
New +$23.1M 4.2% 7