TE Connectivity Ltd - common

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / common
Shares, excl. options Q2 2024
53.8K
Holdings value Q2 2024
$8.09M
Value change Q2 2024
+$480K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
1
Number of buys Q2 2024
1
Number of sells Q2 2024
0
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
0
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 53.8K $8.09M +$480K $150.43 1
2024 Q1 50.6K $7.35M -$1.67M $145.24 1
2023 Q4 62.1K $8.72M -$113K $140.50 1
2023 Q3 62.9K $7.77M +$368K $123.53 1
2023 Q2 59.9K $8.4M -$83K $140.16 1
2023 Q1 60.5K $7.94M -$150K $131.15 1
2022 Q4 61.7K $7.08M -$4.83M $114.80 1
2022 Q3 105K $11.6M +$177K $110.36 2
2022 Q2 104K $11.8M +$124K $113.14 2
2022 Q1 103K $13.5M +$508K $130.98 2
2021 Q4 98.9K $16M +$588K $161.34 2
2021 Q3 95.2K $13.1M -$731K $137.22 2
2021 Q2 101K $13.6M +$841K $135.21 2
2021 Q1 94.3K $12.2M -$973K $129.11 2
2020 Q4 102K $12.3M +$1.26M $121.07 2
2020 Q3 91.4K $8.94M -$863K $97.74 2
2020 Q2 103K $8.41M +$1.71M $81.56 3
2020 Q1 82.2K $5.18M -$5.62M $62.98 2
2019 Q4 143K $13.7M +$5.83M $95.84 3
2019 Q3 82.5K $7.69M +$312K $93.18 2
2019 Q2 79.1K $7.58M +$3.95M $95.78 2
2019 Q1 37.9K $3.06M -$388K $80.75 1
2018 Q4 42.7K $3.23M -$1.47M $77.82 2
2018 Q3 60.1K $5.29M -$235M $87.94 2
2018 Q2 2.67M $240M +$8.81M $90.06 3
2018 Q1 2.57M $257M +$14.3M $99.90 2
2017 Q4 2.43M $231M -$11.7M $95.04 2
2017 Q3 2.55M $212M +$13.3M $83.06 2
2017 Q2 2.39M $188M -$5.85M $78.68 3
2017 Q1 2.46M $184M -$1.61M $74.55 3
2016 Q4 2.49M $172M -$1.64M $69.28 3
2016 Q3 2.51M $162M +$59.1M $64.38 2
2016 Q2 1.59M $90.8M -$2.47M $57.11 2
2016 Q1 1.63M $101M -$233K $61.92 3
2015 Q4 1.63M $106M +$1.03M $64.61 3
2015 Q3 1.62M $97M -$1.09M $59.89 2
2015 Q2 1.63M $105M -$998K $64.31 4
2015 Q1 1.65M $118M -$3.26M $71.62 3
2014 Q4 1.7M $107M -$5.05M $63.25 4
2014 Q3 1.77M $98.1M -$9.58M $55.29 4
2014 Q2 1.95M $120M -$10M $61.84 2
2014 Q1 2.1M $127M +$117M $60.32 2