ADVANCED MICRO DEVICES INC - COM (AMD) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / COM
Symbol
AMD on Nasdaq
Price per share
$214.16
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
1,028,011,742
Total reported value
$166,830,311,241
% of total 13F portfolios
0.12%
Share change
-20,921,105
Value change
-$2,664,007,627
Number of holders
2,612
Price from insider filings
$214.16
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 2,612 institutional investors reported holding 1,028,011,742 shares of ADVANCED MICRO DEVICES INC - COM (AMD).

Institutional Holders of ADVANCED MICRO DEVICES INC - COM (AMD) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 15,897,875 $3,406,208,068 +$758,653,838 $214.16 308
2025 Q3 1,028,011,742 $166,830,311,241 -$2,664,007,627 $161.79 2,612
2025 Q2 1,049,826,156 $148,889,247,641 +$7,492,540,440 $141.90 2,508
2025 Q1 1,005,226,997 $103,088,223,511 -$6,152,309,943 $102.74 2,273
2024 Q4 1,056,970,475 $127,703,658,372 -$1,162,156,361 $120.79 2,419
2024 Q3 1,053,444,362 $172,824,862,006 -$7,638,360,236 $164.08 2,509
2024 Q2 1,099,097,231 $178,284,015,656 +$3,070,813,989 $162.21 2,449
2024 Q1 1,067,812,722 $192,276,163,874 -$10,669,469,756 $180.49 2,517
2023 Q4 9,416,902 $1,387,874,342 -$452,564,199 $147.41 34
2023 Q3 1,063,904,848 $109,402,839,406 -$2,937,100,912 $102.82 1,938
2023 Q2 1,097,972,538 $124,960,030,710 -$2,911,529,560 $113.91 1,966
2023 Q1 1,119,487,764 $109,590,672,808 +$4,420,033,297 $98.01 1,765
2022 Q4 1,083,973,264 $70,285,233,866 +$54,852,731 $64.77 1,614
2022 Q3 1,088,835,105 $69,072,591,802 +$2,274,340,065 $63.36 1,570
2022 Q2 1,012,510,509 $77,497,522,163 -$440,295,120 $76.47 1,630
2022 Q1 1,069,673,904 $117,135,620,755 +$25,781,274,609 $109.34 1,790
2021 Q4 829,871,856 $119,412,497,197 +$535,080,749 $143.90 1,618
2021 Q3 826,510,279 $85,021,316,728 +$1,031,882,075 $102.90 1,363
2021 Q2 813,632,741 $76,388,919,694 -$1,268,729,287 $93.93 1,291
2021 Q1 830,896,049 $65,249,959,937 -$2,710,933,811 $78.50 1,210
2020 Q4 861,511,919 $78,997,661,864 +$4,191,608,517 $91.71 1,238
2020 Q3 815,173,742 $66,804,044,016 +$2,511,541,943 $81.99 1,063
2020 Q2 786,186,036 $41,346,709,173 -$1,732,040,335 $52.61 912
2020 Q1 822,636,918 $37,414,817,327 +$834,284,656 $45.48 834
2019 Q4 806,399,769 $36,977,798,124 +$525,105,511 $45.86 787
2019 Q3 796,292,587 $23,082,124,269 +$3,181,060,737 $28.99 693
2019 Q2 685,319,347 $20,825,816,187 +$2,025,287,691 $30.37 661
2019 Q1 659,224,975 $16,823,602,943 +$799,080,236 $25.52 635
2018 Q4 634,819,310 $11,711,134,805 +$586,992,259 $18.46 567
2018 Q3 598,449,142 $18,485,303,565 -$1,288,646,592 $30.89 571
2018 Q2 648,414,556 $9,721,077,631 +$716,428,819 $14.99 473
2018 Q1 597,439,825 $6,002,474,819 +$25,003,661 $10.05 470
2017 Q4 596,170,169 $6,129,875,473 +$61,311,490 $10.28 446
2017 Q3 583,066,576 $7,433,698,041 +$331,422,333 $12.75 443
2017 Q2 562,203,395 $7,014,538,682 +$293,704,470 $12.48 416
2017 Q1 534,704,240 $7,780,234,891 +$1,941,947,422 $14.55 408
2016 Q4 483,545,496 $5,483,073,765 -$22,389,830 $11.34 312
2016 Q3 488,448,872 $3,364,276,955 +$836,960,358 $6.91 287
2016 Q2 372,918,213 $1,916,753,817 +$283,349,301 $5.14 232
2016 Q1 318,773,264 $908,341,460 -$25,910,657 $2.85 189
2015 Q4 328,215,637 $942,058,804 +$129,838,022 $2.87 197
2015 Q3 279,524,286 $480,787,279 -$81,569,286 $1.72 181
2015 Q2 318,998,546 $765,393,937 +$72,758,605 $2.40 195
2015 Q1 291,754,260 $782,094,149 -$19,904,893 $2.68 201
2014 Q4 292,705,870 $781,571,231 -$243,183,938 $2.67 206
2014 Q3 368,022,546 $1,254,478,833 +$190,010,701 $3.41 227
2014 Q2 307,335,591 $1,287,535,185 +$113,411,252 $4.19 243
2014 Q1 280,004,542 $1,122,764,315 +$103,487,328 $4.01 226