ADVANCED MICRO DEVICES INC - AMD

Sector: Technology · Industry: Semiconductors & Related Devices
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Quarter snapshot

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Q3 2026 · Q2 2026
Value (USD)
Total reported value ($000)
$822.9B
QoQ value delta ($000)
+$1.11M (+0.0%)
Implied price effect (QoQ)
+0.0%
Shares
Total shares
1,395,319,244
QoQ shares delta
+327 (+0.0%)
Total shares held by funds (by quarter)
Shares (left)

Fund holders include prior positions carried forward until a new 13F confirms a change. Reported holders have reported a position in this security for that quarter; this is not the total number of 13F filers.

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Top holders (Q3 2026)

Top 25 only Full list
Partial Q3 2026 data: 19 holders have filed so far. Prior holders are carried forward until their next 13F confirms a change.
Manager Value ($000) Shares % of 13F
BlackRock, Inc. 87,311,650 150,301,510 1.3%
VANGUARD CAPITAL MANAGEMENT LLC 61,867,017 106,500,177 1.32%
STATE STREET CORP 43,197,447 74,361,687 1.28%
JANE STREET GROUP, LLC 35,400,704 60,940,084 2.94%
Invesco Ltd. 30,887,683 53,171,203 2.44%
SUSQUEHANNA INTERNATIONAL GROUP, LLP 30,116,906 51,844,358 2.35%
GEODE CAPITAL MANAGEMENT, LLC 22,927,942 39,568,601 1.22%
VANGUARD PORTFOLIO MANAGEMENT LLC 22,033,869 37,929,920 0.99%
JPMORGAN CHASE & CO 21,746,429 40,309,233 1.2%
PRICE T ROWE ASSOCIATES INC /MD/ 20,876,894 35,938,258 2.09%
CITADEL ADVISORS LLC 19,309,059 33,239,330 2.21%
FMR LLC 14,847,218 25,558,552 0.64%
MORGAN STANLEY 14,108,197 24,286,371 0.75%
NORGES BANK 13,570,737 23,361,170 1.35%
GOLDMAN SACHS GROUP INC 11,354,044 19,545,274 0.99%
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC 10,194,088 17,548,481 1.85%
NORTHERN TRUST CORP 9,695,151 16,689,593 1.13%
CTC LLC 9,605,056 165,345 3.04%
UBS Group AG 8,003,588 13,777,674 1.02%
BANK OF AMERICA CORP /DE/ 7,022,226 12,088,320 0.45%
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 6,980,739 12,016,903 0.93%
BNP PARIBAS FINANCIAL MARKETS 6,900,277 5,921,464 2.39%
Amundi 6,627,849 11,409,427 1.61%
Legal & General Group Plc 6,378,315 10,979,868 1.33%
BARCLAYS PLC 6,307,570 10,858,085 1.21%