Textron Inc (TXT)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$158M
Holdings value Q1 2024
$15.2B
Value change Q1 2024
-$328M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
718
Number of Buys Q1 2024
333
Number of Sells Q1 2024
-260
Average Buys Q1 2024 %
+0.003%
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 158M $15.2B -$328M $95.93 698
2023 Q4 162M $13B -$100M $80.42 661
2023 Q3 166M $13B -$271M $78.14 583
2023 Q2 170M $11.5B -$324M $67.63 575
2023 Q1 177M $12.5B +$524M $70.63 575
2022 Q4 173M $12.2B -$231M $70.80 568
2022 Q3 177M $10.3B -$1.72B $58.26 513
2022 Q2 185M $11.3B +$31.1M $61.07 508
2022 Q1 188M $13.9B +$190M $74.38 521
2021 Q4 186M $14.4B -$182M $77.20 558
2021 Q3 188M $13.2B -$249M $69.81 515
2021 Q2 192M $13.2B +$127M $68.77 483
2021 Q1 192M $10.7B +$59.7M $56.08 444
2020 Q4 194M $9.35B -$30M $48.33 464
2020 Q3 196M $7.07B +$207M $36.09 421
2020 Q2 194M $6.37B +$276M $32.91 424
2020 Q1 188M $5.02B +$116M $26.67 431
2019 Q4 191M $8.53B +$20.6M $44.60 480
2019 Q3 193M $9.45B +$315M $48.96 462
2019 Q2 190M $10.1B -$15M $53.04 498
2019 Q1 196M $9.9B +$47.9M $50.66 515
2018 Q4 196M $9.03B -$144M $45.99 513
2018 Q3 204M $14.5B -$20.4M $71.47 544
2018 Q2 206M $13.6B -$213M $65.91 522
2018 Q1 214M $12.8B +$29M $58.97 487
2017 Q4 218M $12.3B +$329M $56.59 492
2017 Q3 216M $11.6B +$45.9M $53.88 463
2017 Q2 216M $10.2B -$142M $47.10 438
2017 Q1 221M $10.5B +$792M $47.59 451
2016 Q4 224M $10.9B +$255M $48.56 464
2016 Q3 220M $8.75B +$258M $39.75 409
2016 Q2 217M $7.94B -$57.5M $36.56 419
2016 Q1 220M $7.92B +$260M $36.46 409
2015 Q4 224M $9.41B +$121M $42.01 447
2015 Q3 225M $8.48B +$227M $37.64 427
2015 Q2 223M $9.8B +$287M $44.63 447
2015 Q1 223M $9.89B +$103M $44.33 437
2014 Q4 223M $9.38B +$83M $42.11 431
2014 Q3 223M $8.02B -$74.2M $35.99 400
2014 Q2 226M $8.66B +$116M $38.29 394
2014 Q1 227M $8.92B +$151M $39.29 382