Tyson Foods, Inc. (TSN)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / CL A
Shares, Excl. Options Q1 2024
$227M
Holdings value Q1 2024
$13.3B
Value change Q1 2024
-$206M
Grand Portfolio weight change Q1 2024
0%
Number of holders
802
Number of Buys Q1 2024
359
Number of Sells Q1 2024
-327
Average Buys Q1 2024 %
+0.002%
Average Sells Q1 2024 %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 227M $13.3B -$206M $58.73 771
2023 Q4 231M $12.4B +$263M $53.75 754
2023 Q3 229M $11.6B +$225M $50.49 750
2023 Q2 226M $11.6B +$151M $51.04 788
2023 Q1 228M $13.5B +$2.99M $59.32 847
2022 Q4 236M $14.7B -$193M $62.25 900
2022 Q3 241M $15.9B +$127M $65.93 907
2022 Q2 241M $20.8B +$64M $86.06 954
2022 Q1 244M $21.9B +$449M $89.63 983
2021 Q4 242M $21.1B +$126M $87.16 969
2021 Q3 241M $19.1B +$248M $78.94 876
2021 Q2 240M $17.7B +$268M $73.76 848
2021 Q1 237M $17.6B +$699M $74.30 834
2020 Q4 232M $14.9B +$19M $64.44 830
2020 Q3 235M $14B +$273M $59.48 781
2020 Q2 235M $14B -$180M $59.71 769
2020 Q1 244M $14.1B +$332M $57.87 774
2019 Q4 248M $22.6B -$99.2M $91.04 812
2019 Q3 251M $21.6B +$292M $86.14 786
2019 Q2 253M $20.4B +$701M $80.74 798
2019 Q1 254M $17.6B +$373M $69.43 745
2018 Q4 254M $13.6B +$172M $53.40 726
2018 Q3 253M $15B -$186M $59.53 719
2018 Q2 259M $17.8B -$238M $68.85 724
2018 Q1 265M $19.4B +$373M $73.19 729
2017 Q4 263M $21.3B +$387M $81.07 743
2017 Q3 264M $18.6B +$499M $70.45 675
2017 Q2 260M $16.3B +$504M $62.63 663
2017 Q1 261M $16.1B +$1.49B $61.71 670
2016 Q4 257M $15.8B -$141M $61.68 671
2016 Q3 262M $19.5B -$798M $74.67 671
2016 Q2 275M $18.3B +$519M $66.79 666
2016 Q1 269M $17.6B -$118M $66.66 651
2015 Q4 270M $14.4B -$175M $53.33 639
2015 Q3 286M $12.3B +$990M $43.10 586
2015 Q2 272M $11.5B +$37.2M $42.63 595
2015 Q1 276M $10.6B +$123M $38.30 587
2014 Q4 282M $11.3B -$205M $40.09 587
2014 Q3 291M $11.5B +$1.68B $39.37 547
2014 Q2 252M $9.45B +$261M $37.54 526
2014 Q1 250M $11B -$175M $44.01 494