ENVESTNET ASSET MANAGEMENT INC

SEC CIK
0001407543

LRCX holding history

LAM RESEARCH CORP

Every 13F filing in which ENVESTNET ASSET MANAGEMENT INC reported holding LRCX, plus the quarters it sold out. Changes compare share counts with the previous calendar quarter.

LRCX overviewAll 13F holders of LRCXFull portfolio

ENVESTNET ASSET MANAGEMENT INC: LRCX holding by quarter
QuarterSharesValue% of portfolioChange in sharesAction
Q2 20262,958,917$1.28B0.30%+99,166+3.5%Added
Q1 20262,859,751$611.01M0.16%−437,889−13.3%Reduced
Q4 20253,297,640$564.49M0.17%−323,139−8.9%Reduced
Q3 20253,620,779$484.82M0.14%+125,364+3.6%Added
Q2 20253,495,415$340.24M0.10%+378,090+12.1%Added
Q1 20253,117,325$226.63M0.07%+246,995+8.6%Added
Q4 20242,870,330$207.42M0.07%+2,870,330New
Q3 20240$00.00%−262,489−100.0%Sold out
Q2 2024262,489$279.51M0.10%−10,578−3.9%Reduced
Q1 2024273,067$265.3M0.10%−20,122−6.9%Reduced
Q4 2023293,189$229.64M0.09%−10,676−3.5%Reduced
Q3 2023303,865$190.45M0.09%−68,797−18.5%Reduced
Q2 2023372,662$239.57M0.11%−3,134,939−89.4%Reduced
Q1 20233,507,601$169.08M0.08%+3,193,985+1,018.4%Added
Q4 2022313,616$131.81M0.07%+143,219+84.1%Added
Q3 2022170,397$62.37M0.04%−8,446−4.7%Reduced
Q2 2022178,843$76.21M0.04%−2,295−1.3%Reduced
Q1 2022181,138$97.38M0.05%−1,487−0.8%Reduced
Q4 2021182,625$131.34M0.06%+8,812+5.1%Added
Q3 2021173,813$98.93M0.05%+22,238+14.7%Added
Q2 2021151,575$98.63M0.06%+8,911+6.2%Added
Q1 2021142,664$84.92M0.06%+142,664New