Wellington Management Group’s Microchip Technology MCHP Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$45.8M Buy
709,419
+308,804
+77% +$22.2M 0.01% 759
2025
Q4
$25.5M Buy
400,615
+66,466
+20% +$4.1M ﹤0.01% 953
2025
Q3
$21.5M Buy
334,149
+71,397
+27% +$4.84M ﹤0.01% 988
2025
Q2
$18.5M Buy
262,752
+191,105
+267% +$10.5M ﹤0.01% 991
2025
Q1
$3.47M Sell
71,647
-1,169,533
-94% -$65.2M ﹤0.01% 1438
2024
Q4
$71.2M Sell
1,241,180
-3,389,846
-73% -$233M 0.01% 613
2024
Q3
$372M Sell
4,631,026
-307,403
-6% -$25.4M 0.07% 255
2024
Q2
$452M Sell
4,938,429
-102,374
-2% -$9.37M 0.08% 227
2024
Q1
$452M Buy
5,040,803
+1,942,531
+63% +$167M 0.08% 237
2023
Q4
$279M Sell
3,098,272
-1,031,148
-25% -$84M 0.05% 321
2023
Q3
$322M Sell
4,129,420
-122,415
-3% -$10.2M 0.06% 271
2023
Q2
$381M Sell
4,251,835
-2,476,123
-37% -$195M 0.07% 259
2023
Q1
$564M Buy
6,727,958
+2,611,034
+63% +$208M 0.11% 182
2022
Q4
$289M Buy
4,116,924
+498,304
+14% +$34.3M 0.06% 309
2022
Q3
$221M Sell
3,618,620
-71,501
-2% -$4.7M 0.05% 356
2022
Q2
$214M Sell
3,690,121
-2,122,802
-37% -$141M 0.04% 352
2022
Q1
$437M Sell
5,812,923
-216,403
-4% -$16.3M 0.07% 238
2021
Q4
$525M Sell
6,029,326
-225,798
-4% -$18.3M 0.08% 226
2021
Q3
$480M Sell
6,255,124
-953,040
-13% -$71.5M 0.08% 229
2021
Q2
$540M Buy
7,208,164
+10,316
+0.1% +$786K 0.09% 223
2021
Q1
$559M Buy
7,197,848
+666,768
+10% +$49.7M 0.1% 207
2020
Q4
$451M Buy
6,531,080
+69,408
+1% +$4.32M 0.08% 239
2020
Q3
$332M Buy
6,461,672
+99,496
+2% +$5.18M 0.07% 250
2020
Q2
$335M Buy
6,362,176
+735,964
+13% +$33.1M 0.07% 234
2020
Q1
$191M Buy
5,626,212
+618,176
+12% +$29.1M 0.05% 311
2019
Q4
$262M Buy
5,008,036
+277,396
+6% +$13.4M 0.06% 325
2019
Q3
$220M Sell
4,730,640
-508,182
-10% -$23M 0.05% 347
2019
Q2
$227M Sell
5,238,822
-494,876
-9% -$22M 0.05% 343
2019
Q1
$238M Buy
5,733,698
+301,676
+6% +$12.5M 0.05% 322
2018
Q4
$195M Sell
5,432,022
-527,238
-9% -$18.6M 0.05% 340
2018
Q3
$235M Sell
5,959,260
-7,563,946
-56% -$334M 0.05% 353
2018
Q2
$615M Sell
13,523,206
-2,522,978
-16% -$117M 0.14% 176
2018
Q1
$733M Buy
16,046,184
+1,273,480
+9% +$58.7M 0.17% 143
2017
Q4
$649M Sell
14,772,704
-1,088,402
-7% -$49.2M 0.14% 169
2017
Q3
$712M Buy
15,861,106
+915,488
+6% +$38.4M 0.16% 149
2017
Q2
$577M Sell
14,945,618
-3,589,940
-19% -$141M 0.14% 171
2017
Q1
$684M Buy
18,535,558
+15,367,434
+485% +$542M 0.16% 148
2016
Q4
$102M Sell
3,168,124
-441,544
-12% -$13.9M 0.03% 501
2016
Q3
$112M Sell
3,609,668
-2,377,980
-40% -$69.1M 0.03% 454
2016
Q2
$152M Buy
5,987,648
+1,094,438
+22% +$27.2M 0.04% 368
2016
Q1
$118M Buy
4,893,210
+1,872,090
+62% +$41.7M 0.03% 428
2015
Q4
$70.3M Buy
3,021,120
+2,146,840
+246% +$50.4M 0.02% 571
2015
Q3
$18.8M Sell
874,280
-1,956,136
-69% -$42.2M 0.01% 996
2015
Q2
$67.1M Sell
2,830,416
-393,096
-12% -$9.54M 0.02% 631
2015
Q1
$78.8M Buy
3,223,512
+654,768
+25% +$15.8M 0.02% 591
2014
Q4
$57.9M Sell
2,568,744
-804,676
-24% -$17.5M 0.02% 688
2014
Q3
$79.7M Sell
3,373,420
-1,164,922
-26% -$27.8M 0.02% 567
2014
Q2
$111M Sell
4,538,342
-357,992
-7% -$8.53M 0.03% 497
2014
Q1
$117M Buy
4,896,334
+416,158
+9% +$9.5M 0.03% 483
2013
Q4
$100M Sell
4,480,176
-1,439,162
-24% -$30.2M 0.03% 530
2013
Q3
$119M Buy
5,919,338
+534,246
+10% +$10.6M 0.04% 443
2013
Q2
$100M Buy
+5,385,092
New +$98.3M 0.03% 465

Other funds holding MCHP