LATTICE SEMICONDUCTOR CORP - COM (LSCC)

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
150M
Holdings value Q3 2024
$7.96B
Value change Q3 2024
+$247M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
380
Number of buys Q3 2024
181
Number of sells Q3 2024
-265
Average buys Q3 2024 %
+0.003%
Average sells Q3 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 150M $7.96B +$247M $53.07 382
2024 Q2 149M $8.64B -$210M $57.99 431
2024 Q1 151M $11.8B +$176M $78.23 424
2023 Q4 149M $10.3B +$189M $68.99 426
2023 Q3 144M $12.4B -$212M $85.93 459
2023 Q2 145M $14B +$791M $96.07 488
2023 Q1 137M $13.1B +$46.1M $95.50 445
2022 Q4 137M $8.86B +$160M $64.88 378
2022 Q3 135M $6.62B -$428M $49.21 335
2022 Q2 132M $6.42B -$54.3M $48.50 315
2022 Q1 134M $8.15B +$143M $60.95 312
2021 Q4 131M $10.1B -$205M $77.06 304
2021 Q3 134M $8.64B -$73M $64.65 272
2021 Q2 135M $7.58B +$88.3M $56.18 261
2021 Q1 134M $6.02B -$59.2M $45.02 233
2020 Q4 135M $6.2B -$104M $45.82 229
2020 Q3 139M $4.01B -$101M $28.96 219
2020 Q2 142M $4.04B +$105M $28.39 223
2020 Q1 139M $2.48B +$93.9M $17.82 207
2019 Q4 133M $2.55B +$77M $19.14 236
2019 Q3 129M $2.35B +$19.1M $18.29 234
2019 Q2 127M $1.86B +$156M $14.59 188
2019 Q1 121M $1.44B +$54.9M $11.93 185
2018 Q4 119M $824M +$12.6M $6.92 149
2018 Q3 115M $917M +$60.7M $8.00 138
2018 Q2 112M $735M +$20M $6.56 118
2018 Q1 110M $614M +$4.79M $5.57 123
2017 Q4 109M $631M +$23.5M $5.78 139
2017 Q3 105M $549M -$8.47M $5.21 131
2017 Q2 107M $712M -$4.99M $6.66 132
2017 Q1 107M $743M +$45.5M $6.92 130
2016 Q4 107M $790M +$65.1M $7.36 134
2016 Q3 98.1M $637M +$32.4M $6.49 119
2016 Q2 93.9M $502M -$17.2M $5.35 112
2016 Q1 95.4M $542M -$16.4M $5.68 121
2015 Q4 99.3M $643M -$55.7M $6.47 119
2015 Q3 114M $438M -$2.36M $3.85 116
2015 Q2 113M $663M +$6.85M $5.89 136
2015 Q1 111M $704M +$30.5M $6.34 149
2014 Q4 104M $717M -$10.9M $6.89 156
2014 Q3 114M $858M +$19M $7.50 156
2014 Q2 111M $919M +$7.75M $8.25 168
2014 Q1 111M $867M +$21.6M $7.84 148