WCM
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Wedge Capital Management’s Amphenol APH Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$66.6M Sell
674,251
-161,139
-19% -$15.9M 1.19% 11
2025
Q1
$54.8M Sell
835,390
-73,980
-8% -$4.85M 1.06% 16
2024
Q4
$63.2M Sell
909,370
-21,421
-2% -$1.49M 1.14% 21
2024
Q3
$60.7M Sell
930,791
-95,743
-9% -$6.24M 1.05% 12
2024
Q2
$69.2M Buy
+1,026,534
New +$69.2M 1.23% 8
2023
Q2
Sell
-931,558
Closed -$76.1M 507
2023
Q1
$76.1M Buy
931,558
+136,272
+17% +$11.1M 1.28% 7
2022
Q4
$60.6M Buy
795,286
+58,052
+8% +$4.42M 0.98% 14
2022
Q3
$49.4M Buy
737,234
+85,034
+13% +$5.69M 0.84% 16
2022
Q2
$42M Sell
652,200
-77,957
-11% -$5.02M 0.67% 25
2022
Q1
$55M Sell
730,157
-78,610
-10% -$5.92M 0.74% 22
2021
Q4
$70.7M Sell
808,767
-133,608
-14% -$11.7M 0.88% 12
2021
Q3
$69M Buy
942,375
+50,091
+6% +$3.67M 0.89% 10
2021
Q2
$61M Sell
892,284
-118,843
-12% -$8.13M 0.75% 33
2021
Q1
$66.7M Buy
1,011,127
+479,171
+90% +$31.6M 0.79% 19
2020
Q4
$69.6M Sell
531,956
-169,599
-24% -$22.2M 0.81% 34
2020
Q3
$76M Buy
+701,555
New +$76M 1.02% 16
2019
Q2
Sell
-443,693
Closed -$41.9M 604
2019
Q1
$41.9M Sell
443,693
-36,235
-8% -$3.42M 0.48% 59
2018
Q4
$38.9M Sell
479,928
-112,971
-19% -$9.15M 0.48% 55
2018
Q3
$55.7M Sell
592,899
-123,784
-17% -$11.6M 0.53% 51
2018
Q2
$62.5M Buy
716,683
+182,402
+34% +$15.9M 0.61% 44
2018
Q1
$46M Sell
534,281
-153,523
-22% -$13.2M 0.44% 68
2017
Q4
$60.4M Buy
687,804
+53,958
+9% +$4.74M 0.54% 53
2017
Q3
$53.6M Buy
+633,846
New +$53.6M 0.5% 50
2017
Q1
Sell
-595,843
Closed -$40M 557
2016
Q4
$40M Buy
+595,843
New +$40M 0.39% 91
2015
Q4
Sell
-747,935
Closed -$38.1M 587
2015
Q3
$38.1M Sell
747,935
-155,600
-17% -$7.93M 0.4% 71
2015
Q2
$52.4M Buy
903,535
+74,650
+9% +$4.33M 0.51% 55
2015
Q1
$48.8M Sell
828,885
-114,915
-12% -$6.77M 0.49% 75
2014
Q4
$50.8M Buy
943,800
+452,225
+92% +$24.3M 0.51% 48
2014
Q3
$49.1M Sell
491,575
-18,925
-4% -$1.89M 0.52% 55
2014
Q2
$49.2M Sell
510,500
-80,800
-14% -$7.78M 0.5% 52
2014
Q1
$54.2M Buy
591,300
+1,250
+0.2% +$115K 0.57% 46
2013
Q4
$52.6M Buy
590,050
+30,350
+5% +$2.71M 0.56% 48
2013
Q3
$43.3M Buy
559,700
+21,120
+4% +$1.63M 0.5% 66
2013
Q2
$42M Buy
+538,580
New +$42M 0.5% 58