Amkor Technology, Inc.
Hedge Funds Holdings

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Amkor Technology, Inc.‘s stocks are currently a part of 236 hedge funds’ portfolios, which represents 35.83% of the total amount of its stocks outstanding. This makes up a total of 88.08M shares of Amkor Technology, Inc.. Compared to the previous quarter, the number fell by -6.53% or -6.15M shares fewer. As for the holding position changes, 37.71% (89) of current hedge fund investors increased the number of shares held, 35.59% (84) of current holders sold a part of the shares held, and 10.17% (24) closed the holdings completely. 29 hedge funds are new holders of Amkor Technology, Inc. stock in Q3 2022, it is 12.29% of total holders.

Hedge funds holding Amkor Technology (Q4 2017 – Q3 2022)

Number of hedge funds
Q4 2017 174
Q1 2018 165
Q2 2018 148
Q3 2018 164
Q4 2018 166
Q1 2019 172
Q2 2019 160
Q3 2019 172
Q4 2019 191
Q1 2020 199
Q2 2020 205
Q3 2020 211
Q4 2020 226
Q1 2021 251
Q2 2021 250
Q3 2021 262
Q4 2021 264
Q1 2022 267
Q2 2022 252
Q3 2022 236

Hedge funds changes in Amkor Technology positions (Q4 2017 – Q3 2022)

Changes in positions
Q4 2017 376552155
Q1 2018 19646124-3
Q2 2018 10506524-1
Q3 2018 2950591313
Q4 2018 28615926-8
Q1 2019 275760208
Q2 2019 23585332-6
Q3 2019 3154591810
Q4 2019 395769197
Q1 2020 39667228-6
Q2 2020 36608427-2
Q3 2020 3169742215
Q4 2020 4162862611
Q1 2021 69717840-7
Q2 2021 40769741-4
Q3 2021 43741062712
Q4 2021 44978642-5
Q1 2022 38115723210
Q2 2022 2411476380
Q3 2022 2989842410

Hedge funds changes in Amkor Technology stock options (Q4 2017 – Q3 2022)

Changes in stock options
Q4 2017 1,367,000 1,054,000
Q1 2018 858,000 1,883,000
Q2 2018 1,499,000 1,544,000
Q3 2018 224,000 2,297,000
Q4 2018 466,000 1,056,000
Q1 2019 1,416,000 951,000
Q2 2019 1,027,000 846,000
Q3 2019 1,190,000 609,000
Q4 2019 4,554,000 873,000
Q1 2020 1,900,000 1,727,000
Q2 2020 4,676,000 3,039,000
Q3 2020 2,024,000 2,415,000
Q4 2020 4,131,000 2,365,000
Q1 2021 13,327,000 10,606,000
Q2 2021 10,557,000 6,042,000
Q3 2021 14,746,000 5,682,000
Q4 2021 9,308,000 3,685,000
Q1 2022 8,067,000 6,129,000
Q2 2022 6,076,000 3,861,000
Q3 2022 4,006,000 2,422,000

Top 50 hedge fund holders of Amkor Technology, Inc. (NASDAQ:AMKR)

Hedge fund Value Shares owned Portfolio share
DIMENSIONAL FUND ADVISORS LP 266.99M 15.65M 0.102%
VANGUARD GROUP INC 222.70M 13.06M 0.007%
BLACKROCK INC. Larry Fink 210.62M 12.35M 0.007%
LSV ASSET MANAGEMENT 142.46M 8.35M 0.335%
STATE STREET CORP 58.36M 3.42M 0.004%
FULLER & THALER ASSET MANAGEMENT, INC. 57.89M 3.39M 0.417%
SW INVESTMENT MANAGEMENT LLC 51.15M 3M 25.702%
GEODE CAPITAL MANAGEMENT, LLC 37.94M 2.22M 0.006%
AQR CAPITAL MANAGEMENT LLC Cliff Asness 34.36M 2.05M 0.084%
NORTHERN TRUST CORP 31.28M 1.83M 0.007%
BANDERA PARTNERS LLC 31.16M 1.82M 13.063%
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 23.81M 1.39M 0.009%
BANK OF NEW YORK MELLON CORP 22.79M 1.33M 0.005%
JPMORGAN CHASE & CO 19.81M 1.16M 0.003%
INVESCO LTD. 18.57M 1.08M 0.006%
MORGAN STANLEY 17.95M 1.05M 0.002%
ROYCE & ASSOCIATES LP 16.81M 985.93K 0.190%
WESTWOOD HOLDINGS GROUP INC 15.75M 924.27K 0.186%
NUVEEN ASSET MANAGEMENT, LLC 14.65M 859.39K 0.006%
FIRST TRUST ADVISORS LP 14.61M 857.22K 0.019%
GOLDMAN SACHS GROUP INC 13.45M 788.94K 0.003%
AMERICAN CENTURY COMPANIES INC 12.64M 741.51K 0.011%
PANAGORA ASSET MANAGEMENT INC 10.45M 613.44K 0.072%
PRUDENTIAL FINANCIAL INC 9.04M 530.49K 0.015%
AMERIPRISE FINANCIAL INC 8.77M 514.61K 0.003%
EARNEST PARTNERS LLC 8.05M 472.23K 0.054%
BANK OF AMERICA CORP /DE/ 7.61M 446.49K 0.001%
DIVISAR CAPITAL MANAGEMENT LLC 6.80M 398.92K 2.002%
PRINCIPAL FINANCIAL GROUP INC 6.67M 391.63K 0.005%
RHUMBLINE ADVISERS 5.90M 346.47K 0.009%
FMR LLC 5.24M 307.45K 0.001%
DEUTSCHE BANK AG\ 4.87M 285.63K 0.003%
NEW YORK STATE COMMON RETIREMENT FUND 4.48M 262.81K 0.006%
SWISS NATIONAL BANK 4.45M 261.2K 0.003%
STATE OF ALASKA, DEPARTMENT OF REVENUE 4.45M 261.13K 0.060%
MASSACHUSETTS FINANCIAL SERVICES CO /MA/ 4.40M 258.14K 0.002%
JANUS HENDERSON GROUP PLC 4.34M 254.82K 0.003%
ALLIANCEBERNSTEIN L.P. 4.12M 241.99K 0.002%
AMERICAN INTERNATIONAL GROUP, INC. 3.50M 205.54K 0.025%
DENALI ADVISORS LLC 3.44M 202.29K 1.631%
CITADEL ADVISORS LLC Ken Griffin 3.34M 196.33K 0.001%
FIRST EAGLE INVESTMENT MANAGEMENT, LLC 3.24M 190.58K 0.010%
TWO SIGMA INVESTMENTS, LP John Overdeck 3.19M 187.19K 0.011%
ALLIANZ ASSET MANAGEMENT GMBH 3.09M 181.74K 0.006%
ARROWSTREET CAPITAL, LIMITED PARTNERSHIP 2.98M 175.11K 0.004%
ENVESTNET ASSET MANAGEMENT INC 2.79M 163.78K 0.002%
LEGAL & GENERAL GROUP PLC 2.61M 153.17K 0.001%
ALBERTA INVESTMENT MANAGEMENT CORP 2.44M 143.63K 0.019%
BRIDGEWAY CAPITAL MANAGEMENT, LLC 2.42M 142K 0.065%
CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM 2.29M 134.86K 0.004%