Tractor Supply Co /De/ (TSCO)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$101M
Holdings value Q1 2024
$26.4B
Value change Q1 2024
-$987M
Grand Portfolio weight change Q1 2024
-0.002%
Number of holders
1172
Number of Buys Q1 2024
481
Number of Sells Q1 2024
-502
Average Buys Q1 2024 %
+0.004%
Average Sells Q1 2024 %
-0.004%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 101M $26.4B -$987M $261.72 1,131
2023 Q4 105M $22.6B +$692M $215.03 1,104
2023 Q3 103M $20.9B +$935M $203.05 1,053
2023 Q2 98.3M $21.7B +$1.45B $221.10 1,081
2023 Q1 93.2M $21.9B +$567M $235.04 1,074
2022 Q4 93.1M $20.9B +$44M $224.97 1,069
2022 Q3 94.1M $17.5B +$623M $185.88 970
2022 Q2 92.4M $17.9B +$207M $193.85 994
2022 Q1 92.7M $21.6B +$166M $233.37 1,029
2021 Q4 92.7M $22.1B -$1.08B $238.60 1,018
2021 Q3 97.3M $19.7B -$428M $202.61 935
2021 Q2 100M $18.6B -$223M $186.06 903
2021 Q1 103M $18.2B +$396M $177.08 881
2020 Q4 102M $14.3B -$97.8M $140.58 840
2020 Q3 104M $14.9B +$573M $143.34 822
2020 Q2 101M $13.3B +$442M $131.79 760
2020 Q1 99M $8.37B +$43.1M $84.55 666
2019 Q4 101M $9.43B +$225M $93.44 719
2019 Q3 100M $9.06B +$141M $90.44 696
2019 Q2 101M $10.9B +$374M $108.80 715
2019 Q1 100M $9.79B +$137M $97.76 706
2018 Q4 100M $8.35B -$13.8M $83.44 721
2018 Q3 101M $9.2B +$267M $90.88 666
2018 Q2 101M $7.7B +$424M $76.49 633
2018 Q1 101M $6.35B +$53.8M $63.02 590
2017 Q4 105M $7.81B -$721M $74.75 596
2017 Q3 116M $7.36B +$311M $63.29 545
2017 Q2 117M $6.36B +$314M $54.21 558
2017 Q1 118M $8.14B +$925M $68.97 602
2016 Q4 118M $8.96B +$163M $75.81 588
2016 Q3 117M $7.9B -$193M $67.35 552
2016 Q2 123M $11.2B +$6.39M $91.18 606
2016 Q1 124M $11B -$72.4M $90.46 574
2015 Q4 123M $10.6B +$105M $85.50 583
2015 Q3 123M $10.3B -$95.6M $84.32 557
2015 Q2 125M $11.1B +$169M $89.94 521
2015 Q1 124M $10.5B -$83.9M $85.06 517
2014 Q4 126M $9.93B +$121M $78.82 503
2014 Q3 126M $7.76B +$525M $61.51 459
2014 Q2 120M $7.28B +$100M $60.40 493
2014 Q1 123M $8.63B +$211M $70.63 492