ANALOG DEVICES INC

Ticker: ADI CUSIP: 032654105 Class: COM

Mirae Asset Global Investments Co., Ltd.'s Holding History (CIK: 0001569395)

Note: Option positions (PUT/CALL) are excluded.

Q4 2025
Shares 521,561 Value ($000) $141,447 Avg Close $250.62 Range $222.68 - $284.23
Q3 2025
Shares 422,956 Value ($000) $103,920 Avg Close $238.95 Range $216.74 - $256.21
Q2 2025
Shares 448,602 Value ($000) $106,776 Avg Close $206.04 Range $156.76 - $237.29
Q1 2025
Shares 417,110 Value ($000) $83,245 Avg Close $212.91 Range $194.45 - $243.09
Q4 2024
Shares 412,072 Value ($000) $88,428 Avg Close $216.79 Range $201.22 - $232.20
Q3 2024
Shares 429,405 Value ($000) $99,643 Avg Close $220.13 Range $193.92 - $238.23
Q2 2024
Shares 388,172 Value ($000) $87,651 Avg Close $207.63 Range $177.44 - $235.09
Q1 2024
Shares 786,390 Value ($000) $148,519 Avg Close $186.28 Range $175.88 - $195.83
Q4 2023
Shares 749,929 Value ($000) $148,906 Avg Close $172.22 Range $149.23 - $196.15
Q3 2023
Shares 804,367 Value ($000) $140,837 Avg Close $176.96 Range $161.51 - $191.75
Q2 2023
Shares 750,422 Value ($000) $146,122 Avg Close $176.89 Range $154.43 - $189.07
Q1 2023
Shares 752,507 Value ($000) $148,409 Avg Close $170.53 Range $151.49 - $188.41
Q4 2022
Shares 777,851 Value ($000) $127,591 Avg Close $147.75 Range $126.15 - $170.82
Q3 2022
Shares 797,177 Value ($000) $111,078 Avg Close $148.98 Range $130.27 - $169.31
Q2 2022
Shares 809,109 Value ($000) $118,202 Avg Close $147.64 Range $133.27 - $159.51
Q1 2022
Shares 727,135 Value ($000) $120,108 Avg Close $151.24 Range $134.63 - $167.25
Q4 2021
Shares 586,600 Value ($000) $103,107 Avg Close $164.67 Range $151.41 - $178.15
Q3 2021
Shares 456,072 Value ($000) $76,384 Avg Close $155.29 Range $144.68 - $165.98
Q2 2021
Shares 274,178 Value ($000) $47,202 Avg Close $147.67 Range $132.59 - $159.38
Q1 2021
Shares 178,258 Value ($000) $27,645 Avg Close $141.13 Range $130.91 - $150.65
Q4 2020
Shares 182,391 Value ($000) $26,946 Avg Close $121.19 Range $104.01 - $135.47
Q3 2020
Shares 157,334 Value ($000) $18,367 Avg Close $106.45 Range $100.27 - $113.53
Q2 2020
Shares 285,582 Value ($000) $35,023 Avg Close $99.37 Range $74.84 - $115.62
Q1 2020
Shares 127,024 Value ($000) $11,389 Avg Close $98.34 Range $71.39 - $114.30
Q4 2019
Shares 98,708 Value ($000) $11,729 Avg Close $100.85 Range $93.45 - $108.24
Q3 2019
Shares 81,100 Value ($000) $9,061 Avg Close $100.85 Range $92.22 - $110.96
Q2 2019
Shares 78,557 Value ($000) $8,866 Avg Close $95.97 Range $84.84 - $104.82
Q1 2019
Shares 80,503 Value ($000) $8,439 Avg Close $88.44 Range $70.78 - $98.26
Q4 2018
Shares 77,791 Value ($000) $6,678 Avg Close $75.83 Range $67.05 - $83.24
Q3 2018
Shares 89,921 Value ($000) $8,308 Avg Close $83.80 Range $78.18 - $87.84
Q2 2018
Shares 56,111 Value ($000) $5,383 Avg Close $81.92 Range $74.57 - $90.21
Q1 2018
Shares 61,285 Value ($000) $5,584 Avg Close $78.62 Range $69.80 - $84.83
Q4 2017
Shares 69,486 Value ($000) $6,186 Avg Close $76.11 Range $71.96 - $80.62
Q3 2017
Shares 62,788 Value ($000) $5,403 Avg Close $68.91 Range $64.89 - $74.12
Q2 2017
Shares 60,213 Value ($000) $4,683 Avg Close $67.51 Range $63.32 - $76.76
Q1 2017
Shares 56,225 Value ($000) $4,606 Avg Close $66.43 Range $59.90 - $71.46
Q4 2016
Shares 49,306 Value ($000) $3,581 Avg Close $57.16 Range $49.95 - $63.12
Q3 2016
Shares 32,937 Value ($000) $2,123 Avg Close $51.83 Range $45.46 - $55.76
Q2 2015
Shares 21,193 Value ($000) $1,360 Avg Close $52.27 Range $49.25 - $55.79
Q1 2015
Shares 32,702 Value ($000) $2,061 Avg Close $45.43 Range $40.96 - $52.21
Q4 2014
Shares 18,053 Value ($000) $1,003 Avg Close $40.60 Range $33.77 - $46.31
Q3 2014
Shares 18,149 Value ($000) $898 Avg Close $40.45 Range $38.44 - $43.25
Q2 2014
Shares 12,565 Value ($000) $679 Avg Close $41.49 Range $39.15 - $44.24
Q1 2014
Shares 12,145 Value ($000) $646 Avg Close $39.25 Range $36.59 - $42.48
Q4 2011
Shares 18,300 Value ($000) $655 Avg Close Range
Q3 2011
Shares 28,900 Value ($000) $903 Avg Close Range
Q2 2011
Shares 30,600 Value ($000) $1,198 Avg Close Range