Advanced Micro Devices Inc (AMD)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$1.04B
Holdings value Q1 2024
$187B
Value change Q1 2024
-$9.64B
Grand Portfolio weight change Q1 2024
-0.02%
Number of holders
2494
Number of Buys Q1 2024
1287
Number of Sells Q1 2024
-936
Average Buys Q1 2024 %
+0.043%
Average Sells Q1 2024 %
-0.058%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 1.03B $185B -$8.8B $180.49 2,473
2023 Q4 1.11B $163B +$9.52B $147.41 2,339
2023 Q3 1.06B $109B -$3.6B $102.82 2,057
2023 Q2 1.11B $127B +$822M $113.91 2,129
2023 Q1 1.11B $109B +$6.15B $98.01 1,901
2022 Q4 1.1B $71.7B +$965M $64.77 1,754
2022 Q3 1.1B $70B +$2.39B $63.36 1,728
2022 Q2 1.06B $81.5B +$881M $76.47 1,809
2022 Q1 1.07B $117B +$27.1B $109.34 1,937
2021 Q4 831M $120B +$1.51B $143.90 1,786
2021 Q3 827M $85B +$1.94B $102.90 1,515
2021 Q2 817M $76.7B -$972M $93.93 1,420
2021 Q1 831M $65.3B -$260M $78.50 1,338
2020 Q4 862M $79B +$4.35B $91.71 1,352
2020 Q3 816M $66.9B +$2.91B $81.99 1,182
2020 Q2 787M $41.4B -$1.49B $52.61 1,023
2020 Q1 825M $37.5B +$1.23B $45.48 936
2019 Q4 806M $37B +$1.11B $45.86 911
2019 Q3 798M $23.2B +$3.4B $28.99 809
2019 Q2 688M $20.9B +$2.36B $30.37 772
2019 Q1 667M $17.1B +$1.31B $25.52 745
2018 Q4 636M $11.7B +$905M $18.46 671
2018 Q3 600M $18.5B -$973M $30.89 666
2018 Q2 650M $9.74B +$1B $14.99 567
2018 Q1 619M $6.22B +$364M $10.05 557
2017 Q4 602M $6.19B +$287M $10.28 534
2017 Q3 588M $7.49B +$496M $12.75 535
2017 Q2 562M $7.02B +$908M $12.48 507
2017 Q1 536M $7.79B +$2.16B $14.55 513
2016 Q4 486M $5.51B +$174M $11.34 391
2016 Q3 497M $3.42B +$871M $6.91 357
2016 Q2 374M $1.93B +$294M $5.14 286
2016 Q1 320M $911M -$3.4M $2.85 226
2015 Q4 330M $948M +$137M $2.87 246
2015 Q3 285M $497M -$37.3M $1.72 226
2015 Q2 324M $765M +$96.7M $2.40 238
2015 Q1 293M $786M -$5.84M $2.68 252
2014 Q4 301M $804M -$12.4M $2.67 253
2014 Q3 368M $1.26B +$242M $3.41 275
2014 Q2 310M $1.3B +$127M $4.19 292
2014 Q1 282M $1.13B +$75.2M $4.01 268