Matrix Asset Advisors IncQCOM history

Issuer:
QUALCOMM INC
Quarters tracked:
48 (Q3 2014Q2 2026)
Current shares:
243,892
Current value:
$45.07M
Peak shares:
373,738 (Q3 2015)
Overall change:
-23%
QuarterSharesValue$/ShareShare ΔΔ%
Q2 2026243,892$45.07M$184.79-43,347-15%
Q1 2026287,239$36.99M$128.78+69,682+32%
Q4 2025217,557$37.21M$171.05+5200%
Q3 2025217,037$36.11M$166.36+9,304+4%
Q2 2025207,733$33.08M$159.26+17,036+9%
Q1 2025190,697$29.29M$153.61+16,443+9%
Q4 2024174,254$26.77M$153.62+6,594+4%
Q3 2024167,660$28.51M$170.05+22,921+16%
Q2 2024144,739$28.83M$199.18-38,617-21%
Q1 2024183,356$31.04M$169.30-19,756-10%
Q4 2023203,112$29.38M$144.63-2,793-1%
Q3 2023205,905$22.87M$111.06+2,881+1%
Q2 2023203,024$24.17M$119.04+4,865+2%
Q1 2023198,159$25.28M$127.58+1,573+1%
Q4 2022196,586$21.61M$109.94+8,424+4%
Q3 2022188,162$21.26M$112.98-7,140-4%
Q2 2022195,302$24.95M$127.74+14,084+8%
Q1 2022181,218$27.69M$152.82+18,287+11%
Q4 2021162,931$29.80M$182.87-1940%
Q3 2021163,125$21.04M$128.98+6,539+4%
Q2 2021156,586$22.38M$142.93+20,825+15%
Q1 2021135,761$18.00M$132.59+2,437+2%
Q4 2020133,324$20.31M$152.34-2,242-2%
Q3 2020135,566$15.95M$117.68-55,944-29%
Q2 2020191,510$17.47M$91.21+30,779+19%
Q1 2020160,731$10.87M$67.65-2,314-1%
Q4 2019163,045$14.38M$88.23-82,473-34%
Q3 2019245,518$18.73M$76.28-32,849-12%
Q2 2019278,367$21.18M$76.07-77,061-22%
Q1 2019355,428$20.27M$57.03-3,505-1%
Q4 2018358,933$20.43M$56.91+22,689+7%
Q3 2018336,244$24.22M$72.03-17,709-5%
Q2 2018353,953$19.86M$56.12+19,405+6%
Q1 2018334,548$18.54M$55.41+10,591+3%
Q4 2017323,957$20.74M$64.02+8,444+3%
Q3 2017315,513$16.36M$51.84+35,311+13%
Q2 2017280,202$15.47M$55.22+2,316+1%
Q1 2017277,886$15.93M$57.34-3,948-1%
Q4 2016281,834$18.38M$65.20+3,719+1%
Q3 2016278,115$19.05M$68.50+4,188+2%
Q2 2016273,927$14.67M$53.57+19,886+8%
Q1 2016254,041$12.99M$51.14+21,775+9%
Q4 2015232,266$11.61M$49.99-141,472-38%
Q3 2015373,738$20.08M$53.73+2,798+1%
Q2 2015370,940$23.23M$62.63+10,382+3%
Q1 2015360,558$25.00M$69.34+33,572+10%
Q4 2014326,986$24.30M$74.33+9,825+3%
Q3 2014317,161$23.71M$74.77NEW