ADVANCED MICRO DEVICES INC - COM Institutional Ownership

13F Institutional Holders and Ownership History from Q3 2016 to Q4 2025

Type / Class
Equity / COM
Price per share
$214.16
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
11,584
Total reported value
$2,480,829
% of total 13F portfolios
0%
Share change
+11,584
Value change
+$2,480,829
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 31 Dec 2025, 1 institutional investors reported holding 11,584 shares of ADVANCED MICRO DEVICES INC - COM.

Institutional Holders of ADVANCED MICRO DEVICES INC - COM across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 11,584 $2,480,829 +$2,480,829 $214.16 1
2024 Q1 0 $0 -$1,794,569 $214.16 0
2023 Q4 12,174 $1,794,569 -$3,767,182 $147.41 1
2023 Q3 97,910 $3,767,182 +$2,822,816 $12.93 6
2023 Q2 70,437 $1,037,459 -$4,633,556 $14.24 6
2023 Q1 647,220 $11,539,910 -$874,772 $12.25 7
2022 Q4 655,220 $8,498,483 +$18,110 $8.10 8
2022 Q3 612,000 $4,838,000 -$164,000 $8.00 6
2022 Q2 613,000 $5,852,000 $9.55 7
2022 Q1 613,000 $8,371,000 -$2,841,000 $13.66 7
2021 Q4 753,000 $15,649,000 -$4,977,750 $18.00 8
2021 Q3 1,030,000 $14,551,000 -$3,637,045 $13.00 8
2021 Q2 1,358,000 $16,759,000 -$6,529,282 $11.72 9
2021 Q1 2,010,000 $19,752,000 -$230,374,742 $9.86 12
2020 Q4 23,534,000 $269,041,025 -$389,761,619 $11.45 21
2020 Q3 78,409,040 $802,262,688 -$1,224,662,269 $10.23 29
2020 Q2 240,757,042 $1,579,090,587 +$17,246,635 $6.53 36
2020 Q1 238,028,042 $1,360,498,088 -$12,782,158 $5.73 35
2019 Q4 241,049,083 $1,401,043,281 -$1,665,140,559 $5.79 39
2019 Q3 625,790,083 $2,336,963,748 -$572,128,090 $3.73 49
2019 Q2 780,625,159 $3,028,794,953 +$13,334,545 $3.87 51
2019 Q1 777,664,159 $2,539,414,725 +$89,382,319 $3.27 55
2018 Q4 762,181,101 $1,848,787,901 -$17,979,675 $2.43 57
2018 Q3 741,603,468 $2,880,752,039 -$9,790,844 $3.88 56
2018 Q2 768,325,638 $1,530,999,480 +$117,368,971 $1.99 57
2018 Q1 784,248,657 $1,153,323,551 +$67,120,925 $1.46 58
2017 Q4 741,159,157 $1,119,800,991 -$120,711,279 $1.50 57
2017 Q3 804,366,162 $1,425,852,789 +$5,648,330 $1.77 58
2017 Q2 801,631,159 $1,404,070,781 -$16,957,633 $1.75 58
2017 Q1 807,607,163 $1,595,432,467 +$105,398,824 $1.98 51
2016 Q4 759,907,334 $1,225,996,562 +$117,438,754 $1.58 54
2016 Q3 737,587,004 $818,901,198 +$818,901,198 $1.09 64