ADVANCED MICRO DEVICES INC - CALL Institutional Ownership

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

Type / Class
Equity / CALL
Price per share
$21.70
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
725,002
Total reported value
$117,442,060
% of total 13F portfolios
0%
Share change
+721,300
Value change
+$116,768,380
Number of holders
3
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 3 institutional investors reported holding 725,002 shares of ADVANCED MICRO DEVICES INC - CALL.

Institutional Holders of ADVANCED MICRO DEVICES INC - CALL across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 $21.70 0
2025 Q3 725,002 $117,442,060 +$116,768,380 $161.79 3
2025 Q2 3,502 $497,610 -$8,831,352 $141.90 2
2025 Q1 90,802 $9,328,258 +$9,328,260 $102.74 2
2024 Q4 0 $0 -$2,018,000 $120.79 0
2024 Q3 12,300 $2,018,000 -$278,911 $164.08 15
2024 Q2 14,000 $2,270,000 -$211,956 $162.21 18
2024 Q1 13,734 $2,512,314 +$2,512,314 $180.49 19
2023 Q4 $21.70 0
2023 Q3 53,600 $5,511,000 +$1,624,512 $102.82 23
2023 Q2 37,800 $4,305,000 +$4,305,000 $113.91 20
2023 Q1 $98.01 18
2022 Q4 $64.77 19
2022 Q3 $63.36 17
2022 Q2 $76.47 18
2022 Q1 $109.34 0
2021 Q4 7,000 $100,730 $0 $143.90 1
2021 Q3 756,200 $77,839,000 +$74,091,992 $102.90 18
2021 Q2 39,900 $3,747,000 $0 $93.93 16
2021 Q1 207,600 $16,296,000 +$13,658,495 $78.50 15
2020 Q4 33,600 $3,081,000 -$247,580 $91.71 16
2020 Q3 36,300 $2,976,000 -$3,107,175 $81.99 12
2020 Q2 $52.61 12
2020 Q1 $45.48 9
2019 Q4 $45.86 14
2019 Q3 $28.99 15
2019 Q2 $30.37 15
2019 Q1 $25.52 13
2018 Q4 $18.46 9
2018 Q3 $30.89 8
2018 Q2 $14.99 12
2018 Q1 $10.05 9
2017 Q4 $10.28 8
2017 Q3 $12.75 6
2017 Q2 $12.48 8
2017 Q1 $14.55 7
2016 Q4 $13.17 4
2016 Q3 $6.91 5
2016 Q2 $5.14 6
2016 Q1 $2.85 4
2015 Q4 $2.87 5
2015 Q3 $1.72 5
2015 Q2 $2.40 5
2015 Q1 $2.68 6
2014 Q4 $2.67 6
2014 Q3 $3.41 0
2014 Q2 $4.19 6
2014 Q1 $4.01 5