Back to GLENMEDE TRUST CO NA GLENMEDE TRUST CO NA

APHAPH
29 quarters

Position history for GLENMEDE TRUST CO NAGLENMEDE TRUST CO NA's holdings in AMPHENOL CORP

GLENMEDE TRUST CO NA holds 1.3M shares of APH (AMPHENOL CORP), worth $165.7M as of 2026-Q1. The position was decreased (-7.0% shares). APH represents 0.8% of GLENMEDE TRUST CO NA's portfolio.

Current Value

$165.7M

Current Shares

1.3M

Total Value Change

+$93M

Total Shares Change

+538,267

Quarter-by-Quarter History
QuarterActionSharesChangeValueWeightPriceConviction
2026-Q1
Latest
Decreased
1.3M
-7.0%
$165.7M0.8%$129.58
0
2025-Q4
Decreased
1.4M
-15.4%
$190.6M0.9%$136.20
0
2025-Q1
Increased
1.7M
+4.3%
$109.3M0.6%$66.25
44
2024-Q4
Decreased
1.6M
-5.1%
$110.9M0.6%$68.97
0
2024-Q3
Increased
1.7M
+11.8%
$109.6M0.5%$64.38
47
2024-Q2
Increased
1.5M
+38.2%
$101.4M0.5%$66.54
56
2024-Q1
Decreased
1.1M
-15.9%
$125.6M0.6%$56.87
0
2023-Q4
Decreased
1.3M
-7.3%
$128.4M0.7%$48.77
0
2023-Q3
Decreased
1.4M
-5.3%
$117.4M0.7%$41.23
0
2023-Q2
Unchanged
1.5M
0.0%
$120.6M0.7%$40.87
0
2023-Q1
Increased
1.5M
+0.8%
$120.6M0.7%$39.40
43
2022-Q4
Decreased
1.5M
-4.1%
$111.6M0.7%$37.09
0
2022-Q3
Decreased
1.5M
-0.4%
$102.3M0.6%$33.00
0
2022-Q2
Decreased
1.5M
-1.8%
$98.7M0.6%$31.19
0
2022-Q1
Decreased
1.6M
-0.2%
$117.7M0.6%$37.05
0
2021-Q4
Decreased
1.6M
-7.1%
$136.9M0.7%$41.92
0
2021-Q3
Decreased
1.7M
-3.8%
$123.3M0.6%$35.82
0
2021-Q2
Decreased
1.8M
-1.9%
$119.8M0.6%$32.85
0
2021-Q1
Increased
1.8M
+87.4%
$117.8M0.6%$31.39
66
2020-Q4
Decreased
952,676
-2.0%
$124.6M0.7%$31.00
0
2020-Q3
Increased
971,975
+166.8%
$105.2M0.6%$25.88
68
2020-Q2
Decreased
364,348
-66.7%
$34.9M0.2%$22.63
0
2020-Q1
Unchanged
1.1M
0.0%
$118.6M0.5%$17.97
0
2019-Q4
Increased
1.1M
+216.2%
$118.6M0.5%$25.58
68
2019-Q3
Increased
346,537
+6.2%
$33.4M0.2%$22.56
37
2019-Q2
Decreased
326,475
-69.9%
$31.3M0.1%$22.55
0
2019-Q1
Decreased
1.1M
-12.0%
$102.3M0.5%$22.15
0
2018-Q4
Increased
1.2M
+59.2%
$99.7M0.5%$18.83
51
2018-Q3
New
773,084
-
$72.7M0.3%$21.94
49

Other major holders of APH: VANGUARD GROUP INC, BlackRock, Inc.

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