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Amphenol Corporation shares owned by Brown Advisory Holdings Incorporated

Quarter-by-quarter ownership of Amphenol Corporation (APH) shares owned by Brown Advisory Holdings Incorporated from 13F filings

Historical chart of Brown Advisory Holdings Incorporated investment in Amphenol Corporation

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All positions including Amphenol Corporation held by Brown Advisory Holdings Incorporated consolidated in one spreadsheet with up to 7 years of data

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Quarterly reported holdings in Amphenol Corporation by Brown Advisory Holdings Incorporated

Quarter filed Position value Share count Share price at filing
2025-09-30 $44M 358k 123.75
2025-06-30 $36M 362k 98.75
2025-03-31 $24M 368k 65.59
2024-12-31 $25M 364k 69.45
2024-09-30 $23M 355k 65.16
2024-06-30 $24M 356k 67.37
2024-03-31 $21M 178k 115.35
2023-12-31 $18M 179k 99.13
2023-09-30 $15M 184k 83.99
2023-06-30 $16M 187k 84.96
2023-03-31 $15M 189k 81.72
2022-12-31 $15M 194k 76.14
2022-09-30 $16M 232k 66.96
2022-06-30 $15M 234k 64.38
2022-03-31 $18M 240k 75.64
2021-12-31 $21M 239k 87.46
2021-09-30 $17M 238k 73.23
2021-06-30 $19M 284k 67.50
2021-03-31 $19M 285k 65.00
2020-12-31 $20M 155k 130.00
2020-09-30 $19M 173k 110.00
2020-06-30 $400M 4.2M 95.81
2020-03-31 $287M 3.9M 72.93
2019-12-31 $438M 4.0M 108.23
2019-09-30 $380M 3.9M 96.50
2019-06-30 $377M 3.9M 95.94
2019-03-31 $377M 4.0M 94.44
2018-12-31 $334M 4.1M 81.31
2018-09-30 $395M 4.2M 94.02
2018-06-30 $402M 4.6M 86.79
2018-03-31 $323M 3.8M 86.13
2017-12-31 $467M 5.3M 87.80
2017-09-30 $490M 5.8M 84.64
2017-06-30 $485M 6.6M 73.82
2017-03-31 $477M 6.7M 71.17
2016-12-31 $488M 7.3M 67.20
2016-09-30 $506M 7.8M 64.92
2016-06-30 $478M 8.3M 57.33
2016-03-31 $510M 8.8M 57.82
2015-12-31 $466M 8.9M 52.23
2015-09-30 $465M 9.1M 50.96
2015-06-30 $579M 10M 57.97
2015-03-31 $607M 10M 58.93
2014-12-31 $574M 11M 53.81
2014-09-30 $566M 5.7M 99.86
2014-06-30 $622M 6.5M 96.34
2014-03-31 $604M 6.6M 91.65
2013-12-31 $581M 6.5M 89.18
2013-09-30 $441M 5.7M 77.38
2013-06-30 $422M 5.4M 77.94
2011-12-31 $229M 5.1M 45.17
2011-06-30 $167M 3.1M 54.01
2010-12-31 $127M 2.4M 52.76