Micron Technology Inc (MU)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$840M
Holdings value Q1 2024
$99B
Value change Q1 2024
-$395M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
1640
Number of Buys Q1 2024
811
Number of Sells Q1 2024
-636
Average Buys Q1 2024 %
+0.036%
Average Sells Q1 2024 %
-0.036%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 831M $98B +$10.3M $117.89 1,639
2023 Q4 872M $74.4B +$1.85B $85.34 1,533
2023 Q3 867M $59B +$200M $68.03 1,374
2023 Q2 868M $55.1B +$672M $63.11 1,362
2023 Q1 876M $53.1B +$1.04B $60.34 1,325
2022 Q4 881M $46.2B +$2.33B $49.98 1,286
2022 Q3 863M $43.6B -$491M $50.10 1,300
2022 Q2 884M $49.3B +$382M $55.28 1,361
2022 Q1 894M $70B +$871M $77.89 1,479
2021 Q4 898M $84.1B +$3.25B $93.15 1,502
2021 Q3 877M $62.7B -$151M $70.98 1,312
2021 Q2 893M $76.3B -$326M $84.98 1,365
2021 Q1 912M $80.9B -$224M $88.21 1,385
2020 Q4 931M $70.3B +$1.87B $75.18 1,270
2020 Q3 911M $43B +$1.23B $46.96 1,056
2020 Q2 894M $46.2B +$269M $51.52 1,085
2020 Q1 906M $38.3B +$2.38B $42.06 1,070
2019 Q4 874M $47B -$86.2M $53.78 1,126
2019 Q3 868M $37.2B +$1.29B $42.85 991
2019 Q2 859M $33.2B +$912M $38.59 971
2019 Q1 864M $35.7B +$934M $41.33 1,005
2018 Q4 856M $27.2B +$441M $31.73 989
2018 Q3 854M $38.6B -$263M $45.23 1,050
2018 Q2 872M $45.7B -$1.19B $52.44 1,091
2018 Q1 926M $48.2B -$664M $52.14 1,064
2017 Q4 955M $39.3B +$1.12B $41.12 970
2017 Q3 946M $37.2B +$2.66B $39.33 831
2017 Q2 887M $26.5B +$506M $29.86 777
2017 Q1 890M $25.7B +$2.15B $28.90 768
2016 Q4 889M $19.5B +$241M $21.92 752
2016 Q3 895M $15.7B +$826M $17.78 722
2016 Q2 847M $11.7B +$157M $13.76 707
2016 Q1 854M $8.93B +$223M $10.47 657
2015 Q4 855M $12.1B +$27.7M $14.16 711
2015 Q3 889M $13.3B -$534M $14.98 712
2015 Q2 957M $17.8B +$470M $18.84 742
2015 Q1 1B $27.2B +$890M $27.13 788
2014 Q4 1.01B $35.2B +$137M $35.01 830
2014 Q3 1.01B $34.2B +$516M $34.26 740
2014 Q2 1.01B $32.8B -$1.14B $32.95 740
2014 Q1 1.05B $29.5B +$6.21B $23.66 641