Veritable’s Microchip Technology MCHP Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2023
Q3
Sell
-14,326
Closed -$1.28M 487
2023
Q2
$1.28M Buy
14,326
+125
+0.9% +$11.2K 0.02% 318
2023
Q1
$1.19M Buy
14,201
+997
+8% +$83.5K 0.02% 330
2022
Q4
$928K Buy
13,204
+739
+6% +$51.9K 0.02% 382
2022
Q3
$761K Sell
12,465
-479
-4% -$29.2K 0.01% 410
2022
Q2
$752K Buy
12,944
+430
+3% +$25K 0.01% 436
2022
Q1
$940K Buy
12,514
+158
+1% +$11.9K 0.01% 412
2021
Q4
$1.08M Buy
12,356
+744
+6% +$64.8K 0.02% 384
2021
Q3
$891K Sell
11,612
-266
-2% -$20.4K 0.01% 406
2021
Q2
$889K Sell
11,878
-188
-2% -$14.1K 0.01% 404
2021
Q1
$936K Sell
12,066
-736
-6% -$57.1K 0.02% 369
2020
Q4
$884K Buy
12,802
+1,806
+16% +$125K 0.02% 365
2020
Q3
$565K Buy
10,996
+728
+7% +$37.4K 0.01% 438
2020
Q2
$541K Sell
10,268
-4,670
-31% -$246K 0.01% 446
2020
Q1
$506K Sell
14,938
-944
-6% -$32K 0.01% 444
2019
Q4
$832K Buy
15,882
+4,700
+42% +$246K 0.02% 399
2019
Q3
$519K Buy
11,182
+266
+2% +$12.3K 0.01% 500
2019
Q2
$473K Buy
10,916
+22
+0.2% +$953 0.01% 511
2019
Q1
$452K Buy
10,894
+300
+3% +$12.4K 0.01% 524
2018
Q4
$381K Buy
10,594
+1,456
+16% +$52.4K 0.01% 531
2018
Q3
$361K Buy
9,138
+936
+11% +$37K 0.01% 577
2018
Q2
$373K Buy
8,202
+606
+8% +$27.6K 0.01% 562
2018
Q1
$347K Sell
7,596
-92
-1% -$4.2K 0.01% 582
2017
Q4
$338K Sell
7,688
-78
-1% -$3.43K 0.01% 594
2017
Q3
$349K Hold
7,766
0.01% 561
2017
Q2
$300K Buy
7,766
+1,048
+16% +$40.5K 0.01% 619
2017
Q1
$248K Buy
6,718
+92
+1% +$3.4K 0.01% 650
2016
Q4
$213K Sell
6,626
-808
-11% -$26K 0.01% 681
2016
Q3
$231K Sell
7,434
-848
-10% -$26.4K 0.01% 644
2016
Q2
$210K Buy
+8,282
New +$210K 0.01% 662
2015
Q2
Sell
-10,884
Closed -$266K 820
2015
Q1
$266K Buy
10,884
+672
+7% +$16.4K 0.01% 777
2014
Q4
$230K Sell
10,212
-472
-4% -$10.6K ﹤0.01% 832
2014
Q3
$252K Buy
10,684
+612
+6% +$14.4K 0.01% 824
2014
Q2
$246K Sell
10,072
-360
-3% -$8.79K 0.01% 817
2014
Q1
$249K Sell
10,432
-100
-0.9% -$2.39K 0.01% 788
2013
Q4
$236K Sell
10,532
-160
-1% -$3.59K 0.01% 788
2013
Q3
$215K Buy
+10,692
New +$215K 0.01% 837