T-Mobile US, Inc. (TMUS)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$489M
Holdings value Q1 2024
$79.8B
Value change Q1 2024
-$2.94B
Grand Portfolio weight change Q1 2024
-0.006%
Number of holders
1369
Number of Buys Q1 2024
675
Number of Sells Q1 2024
-527
Average Buys Q1 2024 %
+0.011%
Average Sells Q1 2024 %
-0.015%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 487M $79.5B -$2.72B $163.22 1,335
2023 Q4 521M $83.6B +$8.71B $160.33 1,358
2023 Q3 478M $66.9B -$2.94B $140.05 1,234
2023 Q2 500M $69.7B -$526M $138.90 1,265
2023 Q1 514M $75.5B -$56.9M $144.84 1,261
2022 Q4 537M $75.8B -$1.37B $140.00 1,254
2022 Q3 557M $74.9B -$295M $134.17 1,214
2022 Q2 562M $75.5B -$1.95B $134.54 1,158
2022 Q1 581M $74.5B +$2.71B $128.35 1,129
2021 Q4 566M $65.5B +$1.31B $115.98 1,091
2021 Q3 567M $72.3B -$4.7B $127.76 1,058
2021 Q2 609M $88.1B +$16.6B $144.83 1,103
2021 Q1 501M $62.4B +$833M $125.29 1,084
2020 Q4 607M $67B -$626M $134.85 1,048
2020 Q3 615M $70.1B -$829M $114.36 962
2020 Q2 634M $65.8B +$34.6B $104.15 920
2020 Q1 304M $25.5B +$1.64B $83.90 744
2019 Q4 291M $22.8B -$501M $78.42 732
2019 Q3 302M $23.8B +$1.28B $78.77 684
2019 Q2 296M $21.9B +$1.92B $74.14 679
2019 Q1 290M $20B +$640M $69.10 660
2018 Q4 289M $18.4B +$1.24B $63.61 659
2018 Q3 290M $20.3B +$502M $70.18 629
2018 Q2 287M $17.1B +$869M $59.75 626
2018 Q1 293M $17.8B -$219M $61.04 618
2017 Q4 304M $19.3B +$2B $63.51 651
2017 Q3 297M $18.3B +$374M $61.66 628
2017 Q2 296M $17.9B +$409M $60.62 620
2017 Q1 302M $19.5B +$2.24B $64.59 601
2016 Q4 291M $16.7B +$544M $57.51 548
2016 Q3 289M $13.5B +$316M $46.72 457
2016 Q2 287M $12.4B +$547M $43.27 417
2016 Q1 282M $10.7B -$27.4M $38.30 404
2015 Q4 287M $11.2B +$831M $39.12 397
2015 Q3 283M $14.2B +$152M $39.81 391
2015 Q2 280M $10.8B +$1.08B $38.77 416
2015 Q1 271M $8.6B +$572M $31.69 358
2014 Q4 262M $7.06B +$1.06B $26.94 350
2014 Q3 241M $6.96B +$488M $28.87 373
2014 Q2 250M $8.41B +$70.1M $33.62 336
2014 Q1 256M $8.47B +$1.03B $33.03 341