HSBC HOLDINGS PLC Advanced Micro Devices, Inc. Transaction History

HSBC HOLDINGS PLC portfolio value:

$12.38M
portfolio value

Advanced Micro Devices, Inc. 13F transactions

Quarter Transaction type Change Relative change Absolute change Change value Avg. price Shares
Q3 2022 call Increase 0.00% 193.2K shares 12.38M $63.36 193.2K
Q3 2022 share Decrease -10.47% -419.66K shares -80.35M $63.36 3.58M
Q3 2022 put Increase +12.08% 72.5K shares -3.41M $63.36 672.5K
Q2 2022 share Increase +25.70% 819.07K shares -39.52M $76.47 4.00M
Q2 2022 put Increase 0.00% 600K shares 46.50M $76.47 600K
Q1 2022 call Decrease -100.00% -300.8K shares -43.60M $109.34 0
Q1 2022 share Increase +122.06% 1.75M shares 141.76M $109.34 3.18M
Q4 2021 share Decrease -6.88% -106.11K shares 50.26M $145.15 1.43M
Q4 2021 call Increase +62.07% 115.2K shares 24.41M $145.15 300.8K
Q3 2021 share Increase +12.69% 173.55K shares 30.93M $102.9 1.54M
Q3 2021 call Increase +46.95% 59.3K shares 7.38M $102.9 185.6K
Q2 2021 call Decrease -41.15% -88.3K shares -5.04M $93.93 126.3K
Q2 2021 share Decrease -60.41% -2.08M shares -143.91M $93.93 1.36M
Q2 2021 put Decrease -100.00% -1.2M shares -94.18M $93.93 0
Q1 2021 share Increase +157.14% 2.11M shares 146.86M $78.5 3.45M
Q1 2021 put Increase 0.00% 1.2M shares 94.18M $78.5 1.2M
Q1 2021 call Increase 0.00% 214.6K shares 16.84M $78.5 214.6K
Q4 2020 put Decrease -100.00% -1M shares -82.06M $91.71 0
Q4 2020 share Decrease -41.65% -959.1K shares -65.78M $91.71 1.34M
Q3 2020 put Increase 0.00% 1M shares 82.06M $81.99 1M
Q3 2020 share Increase +89.84% 1.08M shares 125.21M $81.99 2.30M
Q2 2020 share Increase +48.30% 395.07K shares 25.62M $52.61 1.21M
Q2 2020 call Decrease -100.00% -463.8K shares -21.6M $52.61 0
Q2 2020 put Decrease -100.00% -126.7K shares -5.92M $52.61 0
Q1 2020 put Decrease -83.27% -630.6K shares -28.81M $45.48 126.7K
Q1 2020 call Increase +35.02% 120.3K shares 5.84M $45.48 463.8K
Q1 2020 share Decrease -19.14% -193.65K shares -8.20M $45.48 818.00K
Q4 2019 put Decrease -23.70% -235.2K shares 5.96M $45.86 757.3K
Q4 2019 call Decrease -50.91% -356.3K shares -4.53M $45.86 343.5K
Q4 2019 share Increase +6.75% 63.94K shares 18.92M $45.86 1.01M
Q3 2019 share Increase +55.76% 339.26K shares 8.99M $28.99 947.70K
Q3 2019 call Increase +180.14% 450K shares 12.70M $28.99 699.8K
Q3 2019 put Increase +333.41% 763.5K shares 21.81M $28.99 992.5K
Q2 2019 call Increase 0.00% 249.8K shares 7.58M $30.37 249.8K
Q2 2019 share Increase +8.77% 49.08K shares 4.20M $30.37 608.44K
Q2 2019 put Increase 0.00% 229K shares 6.95M $30.37 229K
Q1 2019 share Decrease -48.85% -534.24K shares -5.91M $25.52 559.36K
Q4 2018 share Increase +76.96% 475.60K shares 1.09M $18.46 1.09M
Q3 2018 call Decrease -100.00% -60K shares -899K $30.89 0
Q3 2018 share Decrease -9.26% -63.08K shares 8.88M $30.89 618.00K
Q2 2018 call 0.00% 0 shares 310K $14.99 60K
Q2 2018 share Decrease -32.85% -333.12K shares 22K $14.99 681.08K
Q1 2018 put Decrease -100.00% -5K shares -51K $10.05 0
Q1 2018 share Increase +29.96% 233.81K shares 2.16M $10.05 1.01M
Q1 2018 call 0.00% 0 shares -28K $10.05 60K
Q4 2017 call Decrease -93.63% -881.3K shares -11.38M $10.28 60K
Q4 2017 share Increase +27.60% 168.78K shares 224K $10.28 780.39K
Q4 2017 put Decrease -75.00% -15K shares -204K $10.28 5K
Q3 2017 put Decrease -89.92% -178.4K shares -2.22M $12.75 20K
Q3 2017 share Increase +10.27% 56.94K shares 877K $12.75 611.61K
Q3 2017 call Increase +127.59% 527.7K shares 6.84M $12.75 941.3K
Q2 2017 put Increase +1884.00% 188.4K shares 2.33M $12.48 198.4K
Q2 2017 call Increase +589.33% 353.6K shares 4.28M $12.48 413.6K
Q2 2017 share Increase +76.26% 239.97K shares 2.34M $12.48 554.67K
Q1 2017 call Increase 0.00% 60K shares 873K $14.55 60K
Q1 2017 share Increase +64.47% 123.35K shares 2.41M $14.55 314.69K
Q1 2017 put Increase 0.00% 10K shares 146K $14.55 10K
Q4 2016 share Increase +69.72% 78.60K shares 1.39M $11.34 191.34K
Q3 2016 share Increase +13.30% 13.23K shares 268K $6.91 112.73K
Q2 2016 share Decrease -28.56% -39.77K shares 114K $5.14 99.50K
Q1 2016 share Increase +9.28% 11.82K shares 31K $2.85 139.27K