SEMTECH CORP - Common Stock (SMTC)

Historical Holders from Q1 2014 to Q1 2025

Symbol
SMTC on Nasdaq
CUSIP
816850101
Type / Class
Equity / Common Stock
Shares outstanding
85.2M
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
95.9M
Holdings value
$5.93B
% of all portfolios
0.006%
Grand Portfolio weight change
+0.001%
Number of holders
354
Number of buys
227
Number of sells
-103
Average Value change %
+0%
Average buys %
+0.002%
Average sells %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of SEMTECH CORP - Common Stock (SMTC)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
AMERIPRISE FINANCIAL INC 6.7% $218M 5.71M Ameriprise Financial, Inc. Dec 31, 2024
ALLIANCEBERNSTEIN L.P. 3.9% $126M 3.31M AllianceBernstein L.P. Dec 31, 2024
Capital Research Global Investors 2.5% $81.5M 2.13M Capital Research Global Investors Dec 31, 2024

Institutional Holders of SEMTECH CORP - Common Stock (SMTC)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 1.12M $38.6M +$17.5M $34.40 25
2024 Q4 95.9M $5.93B +$625M $61.85 354
2024 Q3 84.6M $3.86B +$137M $45.66 273
2024 Q2 81.6M $2.44B +$33.9M $29.88 259
2024 Q1 80.4M $2.21B -$39.1M $27.49 234
2023 Q4 82.4M $1.81B +$153M $21.91 222
2023 Q3 72.3M $1.86B +$81M $25.75 211
2023 Q2 68.9M $1.75B -$29.2M $25.46 221
2023 Q1 70.2M $1.69B -$44.3M $24.14 243
2022 Q4 69.3M $1.99B +$195M $28.69 255
2022 Q3 59M $1.74B -$166M $29.41 255
2022 Q2 62.2M $3.41B +$6.5M $54.97 296
2022 Q1 59.5M $4.13B +$43.8M $69.34 301
2021 Q4 61.4M $5.46B -$59.3M $88.93 299
2021 Q3 62.2M $4.85B +$22.6M $77.97 273
2021 Q2 62M $4.27B +$52.7M $68.80 268
2021 Q1 62.7M $4.33B -$12M $69.00 253
2020 Q4 62.9M $4.54B -$46.2M $72.09 248
2020 Q3 63.5M $3.36B +$35.9M $52.96 227
2020 Q2 62.9M $3.28B -$306K $52.22 236
2020 Q1 62.3M $2.34B -$29.3M $37.50 203
2019 Q4 62.7M $3.32B -$55.1M $52.90 212
2019 Q3 63.6M $3.09B +$7.04M $48.61 206
2019 Q2 65M $3.12B +$72.5M $48.05 214
2019 Q1 63.7M $3.24B -$13.2M $50.91 238
2018 Q4 64.7M $2.97B -$67.1M $45.87 237
2018 Q3 65.4M $3.64B +$84.3M $55.60 236
2018 Q2 64.6M $3.04B +$57.3M $47.05 218
2018 Q1 64.9M $2.53B +$42.8M $39.05 215
2017 Q4 65M $2.22B +$33.6M $34.20 208
2017 Q3 63.1M $2.37B +$5.29M $37.55 213
2017 Q2 63M $2.25B +$35M $35.75 203
2017 Q1 62.5M $2.12B +$267M $33.80 217
2016 Q4 62.4M $1.97B -$24.3M $31.55 214
2016 Q3 62.8M $1.74B -$140K $27.73 188
2016 Q2 61.6M $1.47B +$6.56M $23.86 172
2016 Q1 62.2M $1.37B -$16.6M $21.99 159
2015 Q4 64M $1.21B -$6M $18.92 149
2015 Q3 64.7M $977M -$33.5M $15.10 147
2015 Q2 66.1M $1.31B +$6.53M $19.85 152
2015 Q1 66.3M $1.77B +$11.4M $26.64 163
2014 Q4 65.8M $1.81B -$37.4M $27.57 163
2014 Q3 67.3M $1.83B +$49.4M $27.15 172
2014 Q2 65.6M $1.72B -$14.9M $26.15 180
2014 Q1 66.2M $1.68B -$2.96M $25.34 173