Twin Tree Management’s Micron Technology MU Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$22.6M Sell
66,900
-386,200
-85% -$151M 0.48% 25
2025
Q4
$129M Sell
453,100
-891,400
-66% -$205M 1.13% 5
2025
Q3
$225M Sell
1,344,500
-1,089,500
-45% -$139M 0.94% 6
2025
Q2
$300M Buy
2,434,000
+329,400
+16% +$30.8M 0.56% 14
2025
Q1
$183M Buy
2,104,600
+793,500
+61% +$76.2M 0.34% 30
2024
Q4
$110M Buy
1,311,100
+401,000
+44% +$40.8M 0.2% 84
2024
Q3
$94.4M Sell
910,100
-121,200
-12% -$12.7M 0.19% 82
2024
Q2
$136M Buy
1,031,300
+210,800
+26% +$26.6M 0.31% 55
2024
Q1
$96.7M Buy
820,500
+255,300
+45% +$23.1M 0.21% 87
2023
Q4
$48.2M Buy
565,200
+97,400
+21% +$7.24M 0.09% 217
2023
Q3
$31.8M Buy
467,800
+305,200
+188% +$20.4M 0.07% 252
2023
Q2
$10.3M Buy
+162,600
New +$10.5M 0.02% 607
2022
Q4
Sell
-616,400
Closed -$30.9M 1472
2022
Q3
$30.9M Sell
616,400
-419,300
-40% -$24.3M 0.06% 276
2022
Q2
$57.3M Buy
1,035,700
+935,200
+931% +$63.5M 0.09% 151
2022
Q1
$7.83M Sell
100,500
-200,300
-67% -$17.1M 0.01% 771
2021
Q4
$28M Sell
300,800
-142,800
-32% -$11.2M 0.06% 308
2021
Q3
$31.5M Sell
443,600
-370,700
-46% -$27.8M 0.07% 255
2021
Q2
$69.2M Buy
814,300
+622,800
+325% +$52.6M 0.19% 103
2021
Q1
$16.9M Sell
191,500
-6,000
-3% -$509K 0.06% 319
2020
Q4
$14.8M Sell
197,500
-133,900
-40% -$8.07M 0.06% 359
2020
Q3
$15.6M Sell
331,400
-621,800
-65% -$30.1M 0.06% 331
2020
Q2
$49.1M Sell
953,200
-536,600
-36% -$25.3M 0.2% 118
2020
Q1
$62.7M Buy
1,489,800
+291,400
+24% +$15.2M 0.3% 49
2019
Q4
$64.5M Buy
1,198,400
+1,171,300
+4,322% +$55.9M 0.22% 73
2019
Q3
$1.16M Sell
27,100
-230,600
-89% -$10.4M ﹤0.01% 800
2019
Q2
$9.95M Sell
257,700
-886,200
-77% -$33.8M 0.05% 304
2019
Q1
$47.3M Sell
1,143,900
-315,600
-22% -$12.2M 0.25% 78
2018
Q4
$46.3M Buy
1,459,500
+266,900
+22% +$10.1M 0.29% 52
2018
Q3
$53.9M Sell
1,192,600
-873,900
-42% -$44.1M 0.37% 38
2018
Q2
$108M Buy
2,066,500
+686,200
+50% +$37.1M 0.67% 15
2018
Q1
$72M Buy
1,380,300
+1,143,100
+482% +$54.7M 0.58% 20
2017
Q4
$9.75M Sell
237,200
-434,700
-65% -$18.7M 0.07% 243
2017
Q3
$26.4M Buy
671,900
+84,100
+14% +$2.66M 0.21% 96
2017
Q2
$17.6M Sell
587,800
-697,000
-54% -$20.4M 0.14% 150
2017
Q1
$37.1M Buy
1,284,800
+132,700
+12% +$3.24M 0.34% 55
2016
Q4
$25.3M Buy
1,152,100
+326,000
+39% +$6.12M 0.25% 90
2016
Q3
$14.7M Buy
+826,100
New +$12.6M 0.19% 113
2016
Q1
Sell
-46,700
Closed -$661K 1405
2015
Q4
$661K Sell
46,700
-246,000
-84% -$3.93M 0.01% 766
2015
Q3
$4.38M Sell
292,700
-101,400
-26% -$1.74M 0.11% 164
2015
Q2
$7.42M Buy
394,100
+73,500
+23% +$1.96M 0.18% 108
2015
Q1
$8.7M Buy
320,600
+129,400
+68% +$3.87M 0.22% 78
2014
Q4
$6.69M Sell
191,200
-20,600
-10% -$682K 0.19% 110
2014
Q3
$7.26M Buy
211,800
+84,900
+67% +$2.75M 0.19% 100
2014
Q2
$4.18M Buy
126,900
+71,600
+129% +$1.95M 0.09% 230
2014
Q1
$1.31M Hold
55,300
0.03% 558
2013
Q4
$1.2M Buy
+55,300
New +$1.08M 0.03% 554

Other funds holding MU

Twin Tree Management's MU Position: Q1 2026 in Review

Twin Tree Management reduced its Micron Technology (MU) stake by 22% in Q1 2026, selling an estimated $2.28M and leaving 20,867 shares worth $7.05M. The position accounts for 0.15% of the portfolio, ranked #145.

Twin Tree Management first reported a position in MU in Q2 2013 and has held it in 44 quarters since. The position peaked at $102M in Q1 2024. 2,989 funds tracked by Wall St. Rank hold MU as of Q1 2026.

  • Twin Tree Management held 20,867 shares of Micron Technology worth $7.05M as of Q1 2026.
  • Twin Tree Management sold 5,827 Micron Technology shares in Q1 2026, an estimated $2.28M.
  • Micron Technology made up 0.15% of Twin Tree Management's portfolio in Q1 2026, its #145 holding.
  • Twin Tree Management first reported a position in Micron Technology in Q2 2013 and has held it in 44 quarters since.
  • Twin Tree Management's Micron Technology position peaked at $102M in Q1 2024.
  • 2,989 funds tracked by Wall St. Rank held Micron Technology as of Q1 2026.

Based on Twin Tree Management's 13F filing for Q1 2026, filed 14 May 2026.