STATA RAY sold 1.2% of their position (1.42K shares) of ANALOG DEVICES INC on the open market
Open‑market sale worth $563.7K — a minor trim. Review remaining holdings and any 10b5‑1 plan disclosures.
Comm Stock - $.16-2/3 value
Shares
−198.00
Price / share
$393.11
Trade value
$77.84K
% of position
Comm Stock - $.16-2/3 value
Shares
−270.00
Price / share
$394.13
Trade value
$106.42K
% of position
Comm Stock - $.16-2/3 value
Shares
−94.00
Price / share
$395.04
Trade value
$37.13K
% of position
Comm Stock - $.16-2/3 value
Shares
−174.00
Price / share
$396.25
Trade value
$68.95K
% of position
Comm Stock - $.16-2/3 value
Shares
−120.00
Price / share
$397.21
Trade value
$47.67K
% of position
Comm Stock - $.16-2/3 value
Shares
−108.00
Price / share
$398.48
Trade value
$43.04K
% of position
Comm Stock - $.16-2/3 value
Shares
−48.00
Price / share
$399.49
Trade value
$19.18K
% of position
Comm Stock - $.16-2/3 value
Shares
−60.00
Price / share
$400.65
Trade value
$24.04K
% of position
Comm Stock - $.16-2/3 value
Shares
−24.00
Price / share
$401.32
Trade value
$9.63K
% of position
Comm Stock - $.16-2/3 value
Shares
−65.00
Price / share
$402.63
Trade value
$26.17K
% of position
Comm Stock - $.16-2/3 value
Shares
−63.00
Price / share
$403.93
Trade value
$25.45K
% of position
Comm Stock - $.16-2/3 value
Shares
−48.00
Price / share
$405.71
Trade value
$19.47K
% of position
Comm Stock - $.16-2/3 value
Shares
−36.00
Price / share
$406.45
Trade value
$14.63K
% of position
Comm Stock - $.16-2/3 value
Shares
−72.00
Price / share
$408.07
Trade value
$29.38K
% of position
Comm Stock - $.16-2/3 value
Shares
−24.00
Price / share
$408.88
Trade value
$9.81K
% of position
Comm Stock - $.16-2/3 value
Shares
−12.00
Price / share
$410.32
Trade value
$4.92K
% of position
Net shares
−1.42K
Net value
-$563.72K
| Security | Date | Type | Shares | Price / Share | Trade Value | % of Position | Held Before | Held After |
|---|---|---|---|---|---|---|---|---|
| Comm Stock - $.16-2/3 value Direct | 6/10/2026 | S · Sale | −198.00 | $393.11 | $77.84K | 0.2% | 120.17K | 119.98K |
| Comm Stock - $.16-2/3 value Direct | 6/10/2026 | S · Sale | −270.00 | $394.13 | $106.42K | 0.2% | 119.98K | 119.71K |
| Comm Stock - $.16-2/3 value Direct | 6/10/2026 | S · Sale | −94.00 | $395.04 | $37.13K | 0.1% | 119.71K | 119.61K |
| Comm Stock - $.16-2/3 value Direct | 6/10/2026 | S · Sale | −174.00 | $396.25 | $68.95K | 0.1% | 119.61K | 119.44K |
| Comm Stock - $.16-2/3 value Direct | 6/10/2026 | S · Sale | −120.00 | $397.21 | $47.67K | 0.1% | 119.44K | 119.32K |
| Comm Stock - $.16-2/3 value Direct | 6/10/2026 | S · Sale | −108.00 | $398.48 | $43.04K | 0.1% | 119.32K | 119.21K |
| Comm Stock - $.16-2/3 value Direct | 6/10/2026 | S · Sale | −48.00 | $399.49 | $19.18K | 0.0% | 119.21K | 119.16K |
| Comm Stock - $.16-2/3 value Direct | 6/10/2026 | S · Sale | −60.00 | $400.65 | $24.04K | 0.1% | 119.16K | 119.10K |
| Comm Stock - $.16-2/3 value Direct | 6/10/2026 | S · Sale | −24.00 | $401.32 | $9.63K | 0.0% | 119.10K | 119.08K |
| Comm Stock - $.16-2/3 value Direct | 6/10/2026 | S · Sale | −65.00 | $402.63 | $26.17K | 0.1% | 119.08K | 119.01K |
| Comm Stock - $.16-2/3 value Direct | 6/10/2026 | S · Sale | −63.00 | $403.93 | $25.45K | 0.1% | 119.01K | 118.95K |
| Comm Stock - $.16-2/3 value Direct | 6/10/2026 | S · Sale | −48.00 | $405.71 | $19.47K | 0.0% | 118.95K | 118.90K |
| Comm Stock - $.16-2/3 value Direct | 6/10/2026 | S · Sale | −36.00 | $406.45 | $14.63K | 0.0% | 118.90K | 118.87K |
| Comm Stock - $.16-2/3 value Direct | 6/10/2026 | S · Sale | −72.00 | $408.07 | $29.38K | 0.1% | 118.87K | 118.80K |
| Comm Stock - $.16-2/3 value Direct | 6/10/2026 | S · Sale | −24.00 | $408.88 | $9.81K | 0.0% | 118.80K | 118.77K |
| Comm Stock - $.16-2/3 value Direct | 6/10/2026 | S · Sale | −12.00 | $410.32 | $4.92K | 0.0% | 118.77K | 118.76K |
| Total | −1.42K | -$563.72K | ||||||
Comm Stock - $.16-2/3 value
Indirect| Security Title | Shares Owned | Ownership Type |
|---|---|---|
| Comm Stock - $.16-2/3 value | 652.22K | Indirect |
| Total | 652.22K | 652.22K indirect |