MILLENNIUM MANAGEMENT LLC Advanced Micro Devices, Inc. Transaction History

MILLENNIUM MANAGEMENT LLC portfolio value:

$122.22M
portfolio value

Advanced Micro Devices, Inc. 13F transactions

Quarter Transaction type Change Relative change Absolute change Change value Avg. price Shares
Q3 2022 share Decrease -13.48% -552.36K shares -88.72M $63.36 3.54M
Q3 2022 call Increase +21.64% 343.2K shares 955K $63.36 1.92M
Q3 2022 put Decrease -8.59% -604.2K shares -130.50M $63.36 6.43M
Q2 2022 share Increase +40.48% 1.18M shares -5.58M $76.47 4.09M
Q2 2022 call Increase +89.96% 751K shares 32.24M $76.47 1.58M
Q2 2022 put Increase +11.27% 712.4K shares -153.32M $76.47 7.03M
Q1 2022 call Increase +6.32% 49.6K shares -23.96M $109.34 834.8K
Q1 2022 put Decrease -5.35% -357.2K shares -269.88M $109.34 6.32M
Q1 2022 share Increase +67.20% 1.17M shares 67.90M $109.34 2.91M
Q4 2021 put Increase +7.23% 450.6K shares 320.20M $145.15 6.67M
Q4 2021 share Decrease -48.62% -1.65M shares -98.38M $145.15 1.74M
Q4 2021 call Increase +4.01% 30.3K shares 35.31M $145.15 785.2K
Q3 2021 put Increase +35.23% 1.62M shares 208.28M $102.9 6.22M
Q3 2021 call Increase +185.95% 490.9K shares 52.88M $102.9 754.9K
Q3 2021 share Increase +143.37% 2.00M shares 218.38M $102.9 3.39M
Q2 2021 call Decrease -14.34% -44.2K shares 604K $93.93 264K
Q2 2021 share Decrease -42.24% -1.02M shares -58.56M $93.93 1.39M
Q2 2021 put Decrease -34.63% -2.43M shares -120.43M $93.93 4.60M
Q1 2021 put Increase +77.01% 3.06M shares 188.03M $78.5 7.04M
Q1 2021 call Increase +194.93% 203.7K shares 14.61M $78.5 308.2K
Q1 2021 share Decrease -21.74% -671.26K shares -93.47M $78.5 2.41M
Q4 2020 put Increase +466.03% 3.27M shares 307.37M $91.71 3.98M
Q4 2020 share Increase +124.20% 1.71M shares 170.22M $91.71 3.08M
Q4 2020 call Decrease -11.29% -13.3K shares -74K $91.71 104.5K
Q3 2020 share Decrease -42.52% -1.01M shares -13.13M $81.99 1.37M
Q3 2020 call Decrease -7.97% -10.2K shares 2.92M $81.99 117.8K
Q3 2020 put Increase +29.29% 159.3K shares 29.04M $81.99 703.2K
Q2 2020 put Decrease -0.46% -2.5K shares 3.76M $52.61 543.9K
Q2 2020 share Increase +16.36% 336.81K shares 32.39M $52.61 2.39M
Q2 2020 call Decrease -21.81% -35.7K shares -711K $52.61 128K
Q1 2020 call Increase +111.23% 86.2K shares 3.89M $45.48 163.7K
Q1 2020 share Increase +91.32% 982.65K shares 44.28M $45.48 2.05M
Q1 2020 put Decrease -45.85% -462.6K shares -21.42M $45.48 546.4K
Q4 2019 put Increase +137.41% 584K shares 33.95M $45.86 1.00M
Q4 2019 share Increase +38.58% 299.58K shares 26.83M $45.86 1.07M
Q4 2019 call Increase 0.00% 77.5K shares 3.55M $45.86 77.5K
Q3 2019 share Increase +2.28% 17.33K shares -545K $28.99 776.44K
Q3 2019 put Increase 0.00% 425K shares 12.32M $28.99 425K
Q2 2019 share Increase +2.89% 21.34K shares 4.22M $30.37 759.11K
Q1 2019 share Decrease -22.05% -208.64K shares 1.35M $25.52 737.77K
Q4 2018 share Decrease -58.87% -1.35M shares -53.60M $18.46 946.42K
Q3 2018 share Decrease -58.83% -3.28M shares -12.69M $30.89 2.30M
Q2 2018 share Decrease -16.59% -1.11M shares 16.43M $14.99 5.58M
Q1 2018 share Increase +1311.04% 6.22M shares 62.45M $10.05 6.70M
Q4 2017 share Decrease -87.82% -3.42M shares -44.84M $10.28 474.83K
Q3 2017 call Decrease -100.00% -4.5M shares -56.16M $12.75 0
Q3 2017 share Decrease -47.01% -3.46M shares -42.13M $12.75 3.90M
Q2 2017 call Increase 0.00% 4.5M shares 56.16M $12.48 4.5M
Q2 2017 share Increase +248.14% 5.24M shares 61.09M $12.48 7.36M
Q1 2017 share Increase +118.46% 1.14M shares 19.78M $14.55 2.11M
Q4 2016 share Decrease -44.86% -787.27K shares -1.15M $11.34 967.80K
Q3 2016 share Decrease -61.06% -2.75M shares -11.03M $6.91 1.75M
Q2 2016 share Increase +13639.65% 4.47M shares 23.07M $5.14 4.50M
Q1 2016 share Decrease -31.86% -15.33K shares -45K $2.85 32.8K