Analog Devices, Inc.
Hedge Funds Holdings

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Analog Devices, Inc.‘s stocks are currently a part of 1317 hedge funds’ portfolios, which represents 82.85% of the total amount of its stocks outstanding. This makes up a total of 439.23M shares of Analog Devices, Inc.. Compared to the previous quarter, the number fell by -2.62% or -11.81M shares fewer. As for the holding position changes, 41.31% (544) of current hedge fund investors increased the number of shares held, 33.79% (445) of current holders sold a part of the shares held, and 9.64% (127) closed the holdings completely. 124 hedge funds are new holders of Analog Devices, Inc. stock in Q1 2022, it is 9.42% of total holders.

Hedge funds holding Analog Devices (Q2 2017 – Q1 2022)

Number of hedge funds
Q2 2017 743
Q3 2017 778
Q4 2017 845
Q1 2018 849
Q2 2018 885
Q3 2018 864
Q4 2018 857
Q1 2019 913
Q2 2019 897
Q3 2019 897
Q4 2019 951
Q1 2020 898
Q2 2020 953
Q3 2020 983
Q4 2020 1,078
Q1 2021 1,096
Q2 2021 1,121
Q3 2021 1,274
Q4 2021 1,347
Q1 2022 1,317

Hedge funds changes in Analog Devices positions (Q2 2017 – Q1 2022)

Changes in positions
Q2 2017 793132567520
Q3 2017 972952845745
Q4 2017 1373212716749
Q1 2018 892973227467
Q2 2018 1013173235985
Q3 2018 623143197594
Q4 2018 9927234910136
Q1 2019 1222963395799
Q2 2019 743413317873
Q3 2019 723363356787
Q4 2019 1313453266485
Q1 2020 893123681263
Q2 2020 1323163687463
Q3 2020 1124023077785
Q4 2020 17040733163107
Q1 2021 1104383698198
Q2 2021 12046734782105
Q3 2021 2176972095596
Q4 2021 194511431110101
Q1 2022 12454444512777

Hedge funds changes in Analog Devices stock options (Q2 2017 – Q1 2022)

Changes in stock options
Q2 2017 9,301,897,000 13,356,330,000
Q3 2017 34,295,098,000 26,238,996,000
Q4 2017 36,198,812,000 86,466,799,000
Q1 2018 31,146,059,000 69,184,235,300
Q2 2018 13,337,004,808 22,144,731,880
Q3 2018 2,124,047,204 19,229,494,440
Q4 2018 34,229,135,142 64,115,124,620
Q1 2019 427,185,988,000 201,176,068,000
Q2 2019 52,239,359,000 6,216,542,691
Q3 2019 10,347,810,000 55,424,059,089
Q4 2019 33,421,554,000 8,307,165,212
Q1 2020 54,231,756,005 285,236,643,900
Q2 2020 132,400,691,048 100,220,114,640
Q3 2020 2,897,458,080,628 3,889,365,824,224
Q4 2020 540,475,056,194 3,076,502,501,216
Q1 2021 2,754,385,048 780,499,573,092
Q2 2021 2,402,343,094,568 1,820,393,038,752
Q3 2021 7,252,454,488,504 16,253,167,342,956
Q4 2021 4,186,049,276,889 7,799,284,242,619
Q1 2022 656,929,000 778,088,000

Top 50 hedge fund holders of Analog Devices, Inc. (NASDAQ:ADI)

Hedge fund Value Shares owned Portfolio share
VANGUARD GROUP INC 6.39B 45.87M 0.188%
BLACKROCK INC. Larry Fink 5.88B 42.26M 0.200%
JPMORGAN CHASE & CO 2.96B 21.24M 0.425%
STATE STREET CORP 2.82B 20.25M 0.178%
MASSACHUSETTS FINANCIAL SERVICES CO /MA/ 1.46B 10.49M 0.547%
WELLINGTON MANAGEMENT GROUP LLP Jean Hynes 1.34B 9.61M 0.285%
FRANKLIN RESOURCES INC 1.29B 9.27M 0.704%
GEODE CAPITAL MANAGEMENT, LLC 1.28B 9.22M 0.195%
INVESCO LTD. 1.25B 8.98M 0.403%
FMR LLC 1.21B 8.73M 0.127%
AMERIPRISE FINANCIAL INC 1.16B 8.39M 0.433%
WELLS FARGO & COMPANY/MN 1.14B 8.24M 0.374%
LAZARD ASSET MANAGEMENT LLC 1.11B 8.03M 1.636%
NORTHERN TRUST CORP 882.46M 6.33M 0.202%
BANK OF AMERICA CORP /DE/ 817.73M 5.86M 0.098%
MORGAN STANLEY 718.78M 5.15M 0.098%
GENERATION INVESTMENT MANAGEMENT LLP 694.42M 4.98M 4.120%
AMUNDI 680.90M 4.48M 0.404%
BANK OF NEW YORK MELLON CORP 633.68M 4.54M 0.154%
PRIMECAP MANAGEMENT CO/CA/ 588.56M 4.22M 0.570%
NEUBERGER BERMAN GROUP LLC 574.89M 4.11M 0.600%
EGERTON CAPITAL (UK) LLP 558.70M 4.00M 4.338%
FIRST EAGLE INVESTMENT MANAGEMENT, LLC 501.88M 3.60M 1.505%
VOYA INVESTMENT MANAGEMENT LLC 494.31M 1.43M 0.518%
LEGAL & GENERAL GROUP PLC 483.00M 3.46M 0.189%
AMERICAN CENTURY COMPANIES INC 473.23M 3.39M 0.416%
BROWN ADVISORY INC 467.45M 3.35M 0.909%
CAPITAL INTERNATIONAL INVESTORS 448.58M 3.21M 0.131%
CANTILLON CAPITAL MANAGEMENT LLC 448.10M 3.21M 4.059%
BAILLIE GIFFORD & CO 447.80M 3.21M 0.462%
GQG PARTNERS LLC 394.73M 2.83M 1.141%
PRICE T ROWE ASSOCIATES INC /MD/ 350.04M 2.51M 0.057%
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 348.53M 2.50M 0.125%
FIRST PACIFIC ADVISORS, LP 338.86M 2.43M 5.379%
GOLDMAN SACHS GROUP INC 336.3M 2.41M 0.078%
ALKEON CAPITAL MANAGEMENT LLC 326.54M 2.34M 1.056%
WINSLOW CAPITAL MANAGEMENT, LLC 319.20M 2.29M 1.867%
DIMENSIONAL FUND ADVISORS LP 315.87M 2.26M 0.121%
SWISS NATIONAL BANK 313.89M 2.25M 0.225%
SUMITOMO MITSUI TRUST HOLDINGS, INC. 307.51M 2.20M 0.253%
TRUIST FINANCIAL CORP 298.33M 2.14M 0.572%
NUVEEN ASSET MANAGEMENT, LLC 298.03M 2.13M 0.121%
FINDLAY PARK PARTNERS LLP 297.94M 2.13M 2.950%
MANUFACTURERS LIFE INSURANCE COMPANY, THE 295.32M 2.11M 0.207%
VAN ECK ASSOCIATES CORP 290.35M 2.08M 0.864%
SOROBAN CAPITAL PARTNERS LP 283.03M 2.03M 3.064%
UBS ASSET MANAGEMENT AMERICAS INC 282.35M 2.02M 0.158%
FIL LTD 257.73M 1.84M 0.332%
JANUS HENDERSON GROUP PLC 256.95M 1.84M 0.192%
PICTET ASSET MANAGEMENT SA 248.18M 1.78M 0.368%