Microchip Technology Inc (MCHP)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$475M
Holdings value Q1 2024
$42.6B
Value change Q1 2024
-$458M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
1232
Number of Buys Q1 2024
524
Number of Sells Q1 2024
-522
Average Buys Q1 2024 %
+0.006%
Average Sells Q1 2024 %
-0.008%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 473M $42.4B -$244M $89.71 1,171
2023 Q4 483M $43.5B +$865M $90.18 1,247
2023 Q3 483M $37.7B -$568M $78.05 1,173
2023 Q2 491M $44B -$9.49M $89.59 1,186
2023 Q1 501M $41.4B +$1.26B $83.78 1,182
2022 Q4 491M $34.4B -$206M $70.25 1,122
2022 Q3 500M $30.5B -$1.02B $61.03 1,041
2022 Q2 499M $29B +$464M $58.08 1,022
2022 Q1 496M $37.2B +$115M $75.14 1,047
2021 Q4 497M $43.2B +$21.4B $87.06 1,101
2021 Q3 249M $37.9B +$634M $153.49 979
2021 Q2 247M $37B +$198M $149.74 998
2021 Q1 249M $38.6B +$758M $155.22 964
2020 Q4 246M $34B -$39.6M $138.11 951
2020 Q3 248M $25.5B +$31.8M $102.76 850
2020 Q2 250M $26.3B -$102M $105.31 827
2020 Q1 254M $17.2B +$45.2M $67.80 782
2019 Q4 258M $27B +$105M $104.72 872
2019 Q3 258M $24B -$344M $92.91 806
2019 Q2 264M $22.9B -$21.3M $86.70 827
2019 Q1 269M $22.4B +$70.8M $82.96 846
2018 Q4 272M $19.6B +$429M $71.92 794
2018 Q3 269M $21.2B +$1.44B $78.91 816
2018 Q2 254M $23.1B +$20.9M $90.95 847
2018 Q1 264M $23.4B +$1.46B $91.36 825
2017 Q4 245M $21.5B -$9.08M $87.88 821
2017 Q3 246M $22.1B +$723M $89.78 780
2017 Q2 240M $18.6B +$1.33B $77.18 761
2017 Q1 239M $17.6B +$2.58B $73.78 758
2016 Q4 218M $14B -$166M $64.15 709
2016 Q3 223M $13.8B +$38.7M $62.14 663
2016 Q2 220M $11.2B +$233M $50.76 643
2016 Q1 217M $10.3B +$688M $48.20 610
2015 Q4 202M $9.38B -$23.2M $46.54 590
2015 Q3 204M $8.76B +$22M $43.09 556
2015 Q2 205M $9.57B +$253M $47.42 580
2015 Q1 202M $9.87B -$106M $48.90 584
2014 Q4 206M $9.3B +$609M $45.11 589
2014 Q3 205M $11.4B +$1.28B $47.23 600
2014 Q2 204M $11.1B -$1.17B $48.81 612
2014 Q1 218M $12.1B +$2.45B $47.76 585