Teleflex Inc (TFX)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$41.2M
Holdings value Q1 2024
$9.3B
Value change Q1 2024
-$170M
Grand Portfolio weight change Q1 2024
0%
Number of holders
501
Number of Buys Q1 2024
196
Number of Sells Q1 2024
-209
Average Buys Q1 2024 %
+0.001%
Average Sells Q1 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 41.2M $9.3B -$170M $226.17 465
2023 Q4 41.7M $10.4B +$162M $249.34 468
2023 Q3 41.4M $8.13B -$173M $196.41 470
2023 Q2 45.6M $11B +$56.2M $242.03 479
2023 Q1 45.6M $11.6B +$336M $253.31 483
2022 Q4 45.1M $11.3B +$734M $249.63 485
2022 Q3 44.4M $8.96B -$1.51B $201.46 469
2022 Q2 43.9M $10.8B +$669M $245.85 514
2022 Q1 42.6M $15.1B +$150M $354.83 547
2021 Q4 43.1M $14.2B +$255M $328.48 547
2021 Q3 43.1M $16.2B +$299M $376.55 537
2021 Q2 43.2M $17.3B +$381M $401.79 572
2021 Q1 42.5M $17.7B +$111M $415.46 574
2020 Q4 42.5M $17.5B +$170M $411.57 562
2020 Q3 42.2M $14.4B -$103M $340.42 546
2020 Q2 42.8M $15.6B +$281M $363.98 541
2020 Q1 42.8M $12.5B +$30.3M $292.86 518
2019 Q4 42.7M $16.1B +$305M $376.44 543
2019 Q3 42.3M $14.4B -$8.34M $339.75 531
2019 Q2 42.4M $14B +$83.6M $331.15 493
2019 Q1 42.7M $12.9B +$157M $302.16 479
2018 Q4 42.3M $10.9B -$33.2M $258.48 423
2018 Q3 43.1M $11.5B +$720M $266.09 431
2018 Q2 41.3M $11.1B +$153M $268.21 449
2018 Q1 41.2M $10.5B +$182M $254.98 438
2017 Q4 40.9M $10.2B +$141M $248.82 451
2017 Q3 40.7M $9.83B +$21.6M $241.97 403
2017 Q2 40.7M $8.45B +$478M $207.76 381
2017 Q1 41.9M $8.12B +$643M $193.73 392
2016 Q4 42.9M $6.92B +$483M $161.15 379
2016 Q3 41.4M $6.95B +$2.99M $168.05 397
2016 Q2 41.6M $7.38B +$71.4M $177.31 368
2016 Q1 41.6M $6.53B -$19.9M $157.01 349
2015 Q4 41.9M $5.51B +$11.7M $131.45 313
2015 Q3 41.9M $5.18B +$70.8M $124.21 299
2015 Q2 42M $5.64B +$319M $135.45 294
2015 Q1 40.4M $4.88B +$108M $120.83 305
2014 Q4 40.1M $4.61B +$93M $114.82 293
2014 Q3 39.5M $4.15B +$75.9M $105.04 284
2014 Q2 39.1M $4.13B -$1.75M $105.60 289
2014 Q1 39.4M $4.23B +$113M $107.24 283