Taiwan Semiconductor Manufacturing Co Ltd (TSM)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / SPONSORED ADS
Shares, Excl. Options Q1 2024
$817M
Holdings value Q1 2024
$111B
Value change Q1 2024
-$1.49B
Grand Portfolio weight change Q1 2024
-0.003%
Number of holders
1853
Number of Buys Q1 2024
939
Number of Sells Q1 2024
-686
Average Buys Q1 2024 %
+0.063%
Average Sells Q1 2024 %
-0.033%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 815M $111B -$1.25B $136.05 1,854
2023 Q4 833M $86.7B +$1.77B $104.00 1,694
2023 Q3 839M $72.9B -$1.01B $86.90 1,550
2023 Q2 855M $86.9B +$1.09B $100.92 1,607
2023 Q1 857M $80.2B +$3.18B $93.02 1,536
2022 Q4 847M $63.1B -$963M $74.49 1,444
2022 Q3 871M $59.4B +$915M $68.56 1,355
2022 Q2 869M $70.5B +$319M $81.75 1,416
2022 Q1 871M $90.4B +$548M $104.26 1,527
2021 Q4 874M $104B +$1.07B $120.31 1,553
2021 Q3 856M $95.1B +$29.1M $111.65 1,438
2021 Q2 858M $103B -$2.95B $120.16 1,420
2021 Q1 894M $106B -$5.87B $118.28 1,410
2020 Q4 957M $105B -$864M $109.04 1,301
2020 Q3 949M $76.9B -$820M $81.07 1,118
2020 Q2 961M $54.5B -$112M $56.77 975
2020 Q1 968M $46.3B -$278M $47.79 925
2019 Q4 987M $57.3B -$384M $58.10 938
2019 Q3 997M $46.3B +$761M $46.48 820
2019 Q2 989M $38.8B -$1.06B $39.17 798
2019 Q1 1.02B $39.5B +$561M $40.96 793
2018 Q4 1.02B $37.4B +$673M $36.91 784
2018 Q3 1.01B $44.6B +$1.2B $44.16 781
2018 Q2 1B $36.6B +$505M $36.56 728
2018 Q1 1.01B $44.2B +$213M $43.76 737
2017 Q4 1.01B $40.1B -$195M $39.65 684
2017 Q3 1.02B $38.2B +$856M $37.55 627
2017 Q2 1.05B $36.7B +$356M $34.96 626
2017 Q1 1.02B $33.4B +$1.22B $32.84 632
2016 Q4 1.02B $29.4B -$33.5M $28.75 618
2016 Q3 1B $30.6B -$89.2M $30.59 567
2016 Q2 1.01B $26.6B -$259M $26.23 557
2016 Q1 1.02B $26.7B +$1.67B $26.20 553
2015 Q4 959M $21.9B -$647M $22.75 551
2015 Q3 1.04B $21.2B -$2.57B $20.75 550
2015 Q2 1.16B $26.2B +$2.95B $22.71 539
2015 Q1 1.05B $24.7B +$553M $23.48 541
2014 Q4 1.04B $23.4B +$471M $22.38 526
2014 Q3 1.01B $20.4B +$257M $20.18 506
2014 Q2 1.03B $22B -$11.7M $21.39 515
2014 Q1 1.04B $20.9B +$721M $20.02 486