Advanced Micro Devices, Inc.
Hedge Funds Holdings

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Advanced Micro Devices, Inc.‘s stocks are currently a part of 1763 hedge funds’ portfolios, which represents 75.29% of the total amount of its stocks outstanding. This makes up a total of 1.06B shares of Advanced Micro Devices, Inc.. Compared to the previous quarter, the number grew by 27.57% or 229.42M shares more. As for the holding position changes, 57.01% (1005) of current hedge fund investors increased the number of shares held, 17.41% (307) of current holders sold a part of the shares held, and 10.15% (179) closed the holdings completely. 354 hedge funds are new holders of Advanced Micro Devices, Inc. stock in Q1 2022, it is 20.08% of total holders.

Hedge funds holding Advanced Micro Devices (Q2 2017 – Q1 2022)

Number of hedge funds
Q2 2017 420
Q3 2017 452
Q4 2017 456
Q1 2018 474
Q2 2018 492
Q3 2018 581
Q4 2018 580
Q1 2019 653
Q2 2019 676
Q3 2019 707
Q4 2019 796
Q1 2020 847
Q2 2020 929
Q3 2020 1,069
Q4 2020 1,233
Q1 2021 1,201
Q2 2021 1,280
Q3 2021 1,358
Q4 2021 1,621
Q1 2022 1,763

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

Changes in positions
Q2 2017 7917412380-36
Q3 2017 87169136528
Q4 2017 10217413194-45
Q1 2018 85180145622
Q2 2018 90180154680
Q3 2018 15420417759-13
Q4 2018 119232169115-55
Q1 2019 1442291966816
Q2 2019 12327120791-16
Q3 2019 1123091907620
Q4 2019 19126525593-8
Q1 2020 15931929898-27
Q2 2020 172395268859
Q3 2020 2293703678320
Q4 2020 2575872867924
Q1 2021 148553378165-43
Q2 2021 19859435610923
Q3 2021 1885484619368
Q4 2021 3735795269548
Q1 2022 3541,005307179-82

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

Changes in stock options
Q2 2017 47,635,602,973 614,274,725
Q3 2017 43,474,796,680 704,796,000
Q4 2017 4,599,929,160 883,448,276
Q1 2018 11,535,910,905 1,450,724,925
Q2 2018 12,832,162,370 1,559,908,822
Q3 2018 2,715,645,615 6,833,256,342
Q4 2018 5,401,991,780 2,109,728,588
Q1 2019 33,335,563,400 13,054,071,864
Q2 2019 57,697,733,522 2,763,000,818
Q3 2019 34,841,859,846 14,128,932,534
Q4 2019 3,319,720,290 7,301,076,472
Q1 2020 2,991,104,904 11,909,735,328
Q2 2020 17,533,066,011 36,553,734,781
Q3 2020 90,538,411,949 101,078,221,915
Q4 2020 6,339,890,871 209,307,714,925
Q1 2021 484,280,431,100 2,697,751,414,450
Q2 2021 8,206,388,875 4,065,357,722,912
Q3 2021 9,526,200,778 14,302,214,000
Q4 2021 3,852,152,952,533 19,256,563,680
Q1 2022 10,509,903,080 13,830,531,268

Top 50 hedge fund holders of Advanced Micro Devices, Inc. (NASDAQ:AMD)

Hedge fund Value Shares owned Portfolio share
VANGUARD GROUP INC 8.52B 134.53M 0.251%
BLACKROCK INC. Larry Fink 7.45B 117.68M 0.254%
STATE STREET CORP 4.17B 65.89M 0.264%
PRICE T ROWE ASSOCIATES INC /MD/ 3.07B 48.41M 0.503%
FMR LLC 3.05B 48.19M 0.319%
JPMORGAN CHASE & CO 2.48B 39.26M 0.357%
GEODE CAPITAL MANAGEMENT, LLC 1.81B 28.72M 0.276%
FISHER ASSET MANAGEMENT, LLC 1.22B 19.39M 0.921%
GQG PARTNERS LLC 1.15B 18.31M 3.352%
AMUNDI 1.15B 16.95M 0.683%
MORGAN STANLEY 1.04B 16.48M 0.142%
NORTHERN TRUST CORP 1.03B 16.27M 0.235%
CITADEL ADVISORS LLC Ken Griffin 1.02B 16.17M 0.234%
JANUS HENDERSON GROUP PLC 958.65M 15.13M 0.718%
SUSQUEHANNA INTERNATIONAL GROUP, LLP 926.17M 14.61M 0.239%
BANK OF NEW YORK MELLON CORP 920.13M 14.52M 0.223%
INVESCO LTD. 885.82M 13.98M 0.285%
ARTISAN PARTNERS LIMITED PARTNERSHIP 863.39M 13.62M 1.518%
CITADEL ADVISORS LLC Ken Griffin 834.29M 13.16M 0.190%
BANK OF AMERICA CORP /DE/ 811.96M 12.81M 0.097%
NUVEEN ASSET MANAGEMENT, LLC 783.30M 12.36M 0.317%
LEGAL & GENERAL GROUP PLC 730.41M 11.52M 0.285%
UBS ASSET MANAGEMENT AMERICAS INC 712.35M 11.24M 0.400%
AMERICAN CENTURY COMPANIES INC 675.28M 10.65M 0.594%
RENAISSANCE TECHNOLOGIES LLC Jim Simons 638.02M 10.06M 0.903%
SUSQUEHANNA INTERNATIONAL GROUP, LLP 613.87M 9.68M 0.159%
WELLINGTON MANAGEMENT GROUP LLP Jean Hynes 613.63M 9.68M 0.131%
ALLIANCEBERNSTEIN L.P. 554.73M 8.75M 0.269%
DEUTSCHE BANK AG\ 549.20M 8.66M 0.332%
BARCLAYS PLC 544.46M 8.59M 0.594%
AMERIPRISE FINANCIAL INC 537.50M 8.47M 0.199%
SUSQUEHANNA INTERNATIONAL GROUP, LLP 536.21M 8.46M 0.139%
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 519.03M 8.19M 0.186%
JANE STREET GROUP, LLC 510.57M 8.05M 0.223%
JANE STREET GROUP, LLC 496.85M 7.84M 0.217%
BANK OF MONTREAL /CAN/ 484.09M 5.04M 0.209%
SWISS NATIONAL BANK 444.97M 7.02M 0.318%
MILLENNIUM MANAGEMENT LLC Israel Englander 407.41M 6.43M 0.241%
VAN ECK ASSOCIATES CORP 351.54M 5.54M 1.046%
GOLDMAN SACHS GROUP INC 350.30M 5.52M 0.081%
UBS GROUP AG 341.39M 5.38M 0.150%
OPTIVER HOLDING B.V. 340.54M 5.37M 0.294%
DZ BANK AG DEUTSCHE ZENTRAL GENOSSENSCHAFTS BANK, FRANKFURT AM MAIN 340.52M 5.37M 0.644%
SUMITOMO MITSUI TRUST HOLDINGS, INC. 329.32M 5.19M 0.271%
CAPITAL RESEARCH GLOBAL INVESTORS 322.84M 5.09M 0.106%
SCHRODER INVESTMENT MANAGEMENT GROUP 302.79M 4.77M 0.501%
NORDEA INVESTMENT MANAGEMENT AB 300.90M 4.68M 0.487%
PUBLIC INVESTMENT FUND 297.92M 4.70M 0.809%
BNP PARIBAS ARBITRAGE, SNC 296.77M 46.83K 0.475%
VOYA INVESTMENT MANAGEMENT LLC 291.52M 2.77M 0.305%