Lattice Semiconductor Corp (LSCC)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$149M
Holdings value Q1 2024
$11.7B
Value change Q1 2024
+$153M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
464
Number of Buys Q1 2024
209
Number of Sells Q1 2024
-200
Average Buys Q1 2024 %
+0.002%
Average Sells Q1 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 149M $11.7B +$153M $78.23 430
2023 Q4 147M $10.1B +$191M $68.99 436
2023 Q3 143M $12.3B -$67.7M $85.93 471
2023 Q2 144M $13.8B +$1.06B $96.07 507
2023 Q1 135M $12.9B +$105M $95.50 468
2022 Q4 137M $8.86B +$206M $64.88 393
2022 Q3 135M $6.62B -$320M $49.21 351
2022 Q2 132M $6.4B -$26.9M $48.50 330
2022 Q1 134M $8.15B +$246M $60.95 341
2021 Q4 131M $10.1B -$55.4M $77.06 326
2021 Q3 134M $8.64B -$27M $64.65 289
2021 Q2 135M $7.58B +$168M $56.18 279
2021 Q1 134M $6.02B +$8.76M $45.02 251
2020 Q4 135M $6.2B -$24.4M $45.82 252
2020 Q3 139M $4.01B +$16.3M $28.96 237
2020 Q2 142M $4.04B +$143M $28.39 237
2020 Q1 139M $2.48B +$229M $17.82 221
2019 Q4 133M $2.55B +$151M $19.14 254
2019 Q3 129M $2.35B +$64.4M $18.29 253
2019 Q2 127M $1.86B +$221M $14.59 204
2019 Q1 121M $1.44B +$99.7M $11.93 190
2018 Q4 119M $824M +$23.9M $6.92 156
2018 Q3 117M $931M +$51.2M $8.00 146
2018 Q2 112M $735M +$77.1M $6.56 120
2018 Q1 110M $614M +$48.4M $5.57 124
2017 Q4 109M $631M +$43.9M $5.78 140
2017 Q3 105M $549M +$5.38M $5.21 135
2017 Q2 107M $712M +$1.04M $6.66 139
2017 Q1 107M $743M +$78.5M $6.92 137
2016 Q4 108M $792M +$161M $7.36 143
2016 Q3 98.1M $637M +$34.6M $6.49 122
2016 Q2 93.9M $502M +$1.66M $5.35 118
2016 Q1 96.7M $549M +$3.47M $5.68 125
2015 Q4 99.3M $643M +$3.55M $6.47 125
2015 Q3 114M $439M +$30.6M $3.85 117
2015 Q2 113M $656M +$22.2M $5.89 139
2015 Q1 111M $706M +$58.3M $6.34 155
2014 Q4 110M $761M +$36.9M $6.89 162
2014 Q3 114M $858M +$53.7M $7.50 160
2014 Q2 111M $919M +$19M $8.25 170
2014 Q1 111M $867M +$56M $7.84 155