Shelton Capital Management’s Microchip Technology MCHP Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$4.47M Sell
63,592
-6,012
-9% -$423K 0.1% 172
2025
Q1
$3.37M Sell
69,604
-15,913
-19% -$770K 0.08% 188
2024
Q4
$4.9M Sell
85,517
-200
-0.2% -$11.5K 0.12% 158
2024
Q3
$6.88M Sell
85,717
-10,200
-11% -$819K 0.18% 122
2024
Q2
$8.78M Sell
95,917
-131,902
-58% -$12.1M 0.24% 99
2024
Q1
$20.4M Buy
227,819
+28,818
+14% +$2.59M 0.58% 33
2023
Q4
$17.9M Buy
199,001
+1,789
+0.9% +$161K 0.57% 30
2023
Q3
$15.4M Buy
197,212
+35,149
+22% +$2.74M 0.56% 33
2023
Q2
$14.5M Buy
162,063
+111,054
+218% +$9.95M 0.52% 38
2023
Q1
$4.27M Buy
51,009
+7,624
+18% +$639K 0.18% 124
2022
Q4
$3.05M Sell
43,385
-8,789
-17% -$617K 0.32% 107
2022
Q3
$3.18M Hold
52,174
0.15% 149
2022
Q2
$3.03M Hold
52,174
0.14% 164
2022
Q1
$3.92M Hold
52,174
0.14% 155
2021
Q4
$4.54M Buy
52,174
+2,428
+5% +$211K 0.16% 142
2021
Q3
$3.82M Buy
49,746
+1,306
+3% +$100K 0.15% 157
2021
Q2
$3.63M Sell
48,440
-43,852
-48% -$3.28M 0.14% 164
2021
Q1
$7.16M Buy
92,292
+50,376
+120% +$3.91M 0.25% 88
2020
Q4
$2.9M Buy
41,916
+1,510
+4% +$104K 0.13% 155
2020
Q3
$2.08M Hold
40,406
0.09% 249
2020
Q2
$2.13M Sell
40,406
-388
-1% -$20.4K 0.12% 167
2020
Q1
$1.38M Sell
40,794
-6,032
-13% -$204K 0.1% 181
2019
Q4
$2.45M Buy
46,826
+872
+2% +$45.7K 0.14% 142
2019
Q3
$2.14M Sell
45,954
-6,400
-12% -$297K 0.13% 148
2019
Q2
$2.27M Buy
52,354
+48,176
+1,153% +$2.09M 0.13% 152
2019
Q1
$25.2K Sell
4,178
-46,176
-92% -$278K 0.1% 195
2018
Q4
$1.81M Hold
50,354
0.12% 150
2018
Q3
$1.99M Hold
50,354
0.11% 154
2018
Q2
$2.29M Buy
50,354
+5,124
+11% +$233K 0.14% 140
2018
Q1
$2.07M Hold
45,230
0.14% 145
2017
Q4
$1.99M Buy
45,230
+5,600
+14% +$246K 0.13% 153
2017
Q3
$1.78M Buy
39,630
+400
+1% +$18K 0.12% 159
2017
Q2
$1.51M Buy
39,230
+5,754
+17% +$222K 0.11% 181
2017
Q1
$1.24M Buy
33,476
+4,626
+16% +$171K 0.09% 195
2016
Q4
$925K Buy
+28,850
New +$925K 0.07% 244
2016
Q3
Sell
-8,296
Closed -$211K 816
2016
Q2
$211K Buy
+8,296
New +$211K 0.02% 692
2014
Q1
Sell
-10,328
Closed -$231K 774
2013
Q4
$231K Buy
+10,328
New +$231K 0.03% 635