Wellington Management Group’s Viavi Solutions VIAV Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$183M Buy
18,132,736
+1,025,637
+6% +$10.3M 0.03% 376
2025
Q1
$191M Sell
17,107,099
-2,507,585
-13% -$28.1M 0.04% 357
2024
Q4
$198M Buy
19,614,684
+5,815,648
+42% +$58.7M 0.04% 372
2024
Q3
$124M Sell
13,799,036
-97,328
-0.7% -$878K 0.02% 488
2024
Q2
$95.5M Sell
13,896,364
-998,570
-7% -$6.86M 0.02% 553
2024
Q1
$135M Sell
14,894,934
-1,668,736
-10% -$15.2M 0.02% 482
2023
Q4
$167M Buy
16,563,670
+638,309
+4% +$6.43M 0.03% 432
2023
Q3
$146M Buy
15,925,361
+1,321,599
+9% +$12.1M 0.03% 441
2023
Q2
$165M Sell
14,603,762
-811,891
-5% -$9.2M 0.03% 433
2023
Q1
$167M Buy
15,415,653
+1,746,558
+13% +$18.9M 0.03% 432
2022
Q4
$144M Sell
13,669,095
-288,075
-2% -$3.03M 0.03% 452
2022
Q3
$182M Sell
13,957,170
-6,265,751
-31% -$81.8M 0.04% 388
2022
Q2
$268M Sell
20,222,921
-1,198,071
-6% -$15.9M 0.05% 302
2022
Q1
$344M Buy
21,420,992
+506,113
+2% +$8.14M 0.06% 278
2021
Q4
$369M Buy
20,914,879
+1,095,447
+6% +$19.3M 0.06% 291
2021
Q3
$312M Buy
19,819,432
+822,231
+4% +$12.9M 0.05% 331
2021
Q2
$335M Buy
18,997,201
+6,674,781
+54% +$118M 0.06% 316
2021
Q1
$193M Buy
12,322,420
+4,244,275
+53% +$66.6M 0.03% 433
2020
Q4
$121M Buy
8,078,145
+5,449,115
+207% +$81.6M 0.02% 540
2020
Q3
$30.8M Buy
+2,629,030
New +$30.8M 0.01% 839
2020
Q2
Sell
-69,921
Closed -$784K 1983
2020
Q1
$784K Sell
69,921
-341,232
-83% -$3.83M ﹤0.01% 1594
2019
Q4
$6.17M Buy
411,153
+283,632
+222% +$4.25M ﹤0.01% 1285
2019
Q3
$1.79M Buy
+127,521
New +$1.79M ﹤0.01% 1614
2019
Q2
Sell
-11,260
Closed -$139K 2133
2019
Q1
$139K Buy
+11,260
New +$139K ﹤0.01% 2014
2017
Q3
Sell
-415,507
Closed -$4.38M 2219
2017
Q2
$4.38M Sell
415,507
-467,504
-53% -$4.92M ﹤0.01% 1471
2017
Q1
$9.47M Buy
+883,011
New +$9.47M ﹤0.01% 1255
2014
Q1
Sell
-3,022,097
Closed -$22.3M 2235
2013
Q4
$22.3M Sell
3,022,097
-3,430,004
-53% -$25.3M 0.01% 977
2013
Q3
$54M Sell
6,452,101
-36,563,438
-85% -$306M 0.02% 684
2013
Q2
$352M Buy
+43,015,539
New +$352M 0.11% 189