ADVANCED MICRO DEVICES INC - COM (AMD)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
1.07B
Holdings value Q3 2024
$175B
Value change Q3 2024
-$5.44B
Grand Portfolio weight change Q3 2024
-0.01%
Number of holders
2442
Number of buys Q3 2024
1409
Number of sells Q3 2024
-901
Average buys Q3 2024 %
+0.034%
Average sells Q3 2024 %
-0.034%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 1.07B $175B -$5.44B $164.08 2,460
2024 Q2 1.1B $178B +$3.11B $162.21 2,442
2024 Q1 1.08B $194B -$9.09B $180.49 2,495
2023 Q4 1.14B $167B +$9.43B $147.41 2,245
2023 Q3 1.08B $111B -$5.71B $102.82 1,953
2023 Q2 1.12B $128B -$806M $113.91 1,984
2023 Q1 1.13B $111B +$4.51B $98.01 1,782
2022 Q4 1.1B $71.2B -$37.7M $64.77 1,633
2022 Q3 1.09B $69.3B +$2.04B $63.36 1,586
2022 Q2 1.06B $81.4B -$446M $76.47 1,648
2022 Q1 1.07B $117B +$25.8B $109.34 1,807
2021 Q4 831M $120B +$464M $143.90 1,645
2021 Q3 826M $85B +$1.08B $102.90 1,374
2021 Q2 817M $76.7B -$1.28B $93.93 1,306
2021 Q1 831M $65.3B -$2.69B $78.50 1,216
2020 Q4 862M $79.1B +$4.24B $91.71 1,247
2020 Q3 816M $66.9B +$2.5B $81.99 1,076
2020 Q2 787M $41.4B -$1.8B $52.61 923
2020 Q1 823M $37.4B +$823M $45.48 851
2019 Q4 806M $37B +$519M $45.86 807
2019 Q3 798M $23.1B +$3.17B $28.99 704
2019 Q2 688M $20.9B +$1.76B $30.37 679
2019 Q1 667M $17B +$920M $25.52 657
2018 Q4 635M $11.7B +$432M $18.46 585
2018 Q3 600M $18.5B -$1.27B $30.89 587
2018 Q2 649M $9.73B +$628M $14.99 488
2018 Q1 619M $6.22B +$165M $10.05 482
2017 Q4 602M $6.19B +$58M $10.28 455
2017 Q3 588M $7.49B +$327M $12.75 450
2017 Q2 562M $7.02B +$281M $12.48 419
2017 Q1 535M $7.78B +$1.94B $14.55 416
2016 Q4 484M $5.49B -$26.7M $11.34 314
2016 Q3 496M $3.42B +$840M $6.91 293
2016 Q2 373M $1.92B +$283M $5.14 236
2016 Q1 320M $911M -$27.9M $2.85 196
2015 Q4 330M $946M +$131M $2.87 200
2015 Q3 281M $484M -$74.8M $1.72 184
2015 Q2 324M $778M +$73.4M $2.40 196
2015 Q1 292M $783M -$20.2M $2.68 208
2014 Q4 294M $784M -$244M $2.67 212
2014 Q3 368M $1.26B +$194M $3.41 231
2014 Q2 307M $1.29B +$110M $4.19 244
2014 Q1 282M $1.13B +$102M $4.01 231