SG AMERICAS SECURITIES, LLC Advanced Micro Devices, Inc. Transaction History

SG AMERICAS SECURITIES, LLC portfolio value:

$12.36M
portfolio value

SG AMERICAS SECURITIES, LLC quarter portfolio value change:

-17.14%
quarter

Advanced Micro Devices, Inc. 13F transactions

Quarter Transaction type Change Relative change Absolute change Change value Avg. price Shares
Q3 2022 share Increase +183.99% 126.40K shares 7.10M $63.36 195.11K
Q2 2022 share Decrease -89.08% -560.55K shares -63.54M $76.47 68.70K
Q1 2022 share Decrease -6.37% -42.83K shares -27.91M $109.34 629.26K
Q4 2021 share Increase +809.94% 598.23K shares 89.11M $145.15 672.09K
Q3 2021 share Decrease -59.30% -107.61K shares -9.44M $102.9 73.86K
Q2 2021 share Decrease -85.19% -1.04M shares -79.16M $93.93 181.47K
Q1 2021 share Increase +135.69% 705.58K shares 48.52M $78.5 1.22M
Q4 2020 share Increase +34.59% 133.64K shares 16.01M $91.71 519.98K
Q3 2020 share Increase +16.52% 54.76K shares 14.23M $81.99 386.33K
Q2 2020 share Increase +84.54% 151.89K shares 9.27M $52.61 331.57K
Q1 2020 share Decrease -25.07% -60.13K shares -2.82M $45.48 179.67K
Q4 2019 share Increase +272.33% 175.40K shares 9.13M $45.86 239.80K
Q3 2019 share Decrease -53.97% -75.51K shares -2.38M $28.99 64.40K
Q2 2019 share Increase +464.84% 115.15K shares 3.61M $30.37 139.92K
Q1 2019 share Decrease -92.24% -294.51K shares -5.26M $25.52 24.77K
Q4 2018 share Decrease -39.46% -208.07K shares -10.39M $18.46 319.28K
Q3 2018 share Decrease -10.37% -61.02K shares 7.47M $30.89 527.36K
Q2 2018 share Increase +96.05% 288.26K shares 5.80M $14.99 588.38K
Q1 2018 share Increase +145.81% 178.02K shares 1.76M $10.05 300.12K
Q4 2017 share Decrease -26.72% -44.51K shares -869K $10.28 122.09K
Q3 2017 share Decrease -16.17% -32.14K shares -356K $12.75 166.61K
Q2 2017 share Increase +68.23% 80.61K shares 761K $12.48 198.75K
Q1 2017 share Increase +182.84% 76.37K shares 1.24M $14.55 118.14K
Q4 2016 share Decrease -83.01% -204.16K shares -1.22M $11.34 41.77K
Q3 2016 share Increase +34.95% 63.69K shares 762K $6.91 245.93K
Q2 2016 share Decrease -32.26% -86.78K shares 170K $5.14 182.23K
Q1 2016 share Decrease -24.08% -85.33K shares -250K $2.85 269.02K