Container Store Group, Inc. - COM (TCS)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
145K
Holdings value Q3 2024
$560K
Value change Q3 2024
-$25.2M
Grand Portfolio weight change Q3 2024
0%
Number of holders
6
Number of buys Q3 2024
0
Number of sells Q3 2024
-59
Average buys Q3 2024 %
0
Average sells Q3 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 Q3 145K $560K -$25.2M $6.22 6
2024 Q2 31M $16.7M -$1.2M $0.54 62
2024 Q1 32.5M $37.1M -$6.3M $1.14 66
2023 Q4 34.6M $78.8M +$1.13M $2.28 75
2023 Q3 34.7M $78.1M -$2.99M $2.25 73
2023 Q2 35.7M $112M -$17.4M $3.14 95
2023 Q1 41M $141M -$4.47M $3.43 107
2022 Q4 41.8M $180M -$2.59M $4.31 137
2022 Q3 42.1M $206M -$5M $4.90 118
2022 Q2 42.4M $264M -$6.27M $6.23 131
2022 Q1 42.7M $349M -$7.94M $8.17 128
2021 Q4 43M $427M -$4.6M $9.98 133
2021 Q3 42.8M $408M -$4.78M $9.52 120
2021 Q2 43M $561M +$9.99M $13.04 128
2021 Q1 41.9M $697M -$12.6M $16.64 128
2020 Q4 43.6M $416M +$8.96M $9.54 116
2020 Q3 42.8M $266M +$4.4M $6.21 87
2020 Q2 42.1M $136M -$3.49M $3.24 62
2020 Q1 43.8M $103M -$2.11M $2.36 63
2019 Q4 43.7M $184M +$12.3M $4.22 82
2019 Q3 40.7M $180M -$4.92M $4.42 99
2019 Q2 41.2M $302M +$18.1M $7.32 104
2019 Q1 38.9M $342M +$1.51M $8.80 94
2018 Q4 39.1M $187M -$4.99M $4.77 81
2018 Q3 38.8M $431M +$20.5M $11.10 98
2018 Q2 37.1M $312M -$692K $8.41 86
2018 Q1 37.4M $204M -$3.17M $5.44 85
2017 Q4 38.1M $180M +$2.96M $4.74 83
2017 Q3 37.4M $157M -$4.53M $4.21 75
2017 Q2 38.1M $226M +$5.54M $5.92 82
2017 Q1 37.3M $158M -$1.8M $4.23 75
2016 Q4 37.9M $241M -$4.43M $6.35 99
2016 Q3 38.6M $194M -$459K $5.02 75
2016 Q2 38.3M $205M -$181K $5.35 86
2016 Q1 38.4M $226M +$3.44M $5.87 72
2015 Q4 39.2M $321M -$21M $8.20 89
2015 Q3 40.8M $580M +$14.5M $14.08 81
2015 Q2 39.9M $673M -$10.2M $16.87 81
2015 Q1 40.3M $768M +$43.8M $19.05 82
2014 Q4 38M $730M -$22.6M $19.13 84
2014 Q3 39.1M $850M -$72.2M $21.77 82
2014 Q2 42M $1.17B -$9.85M $27.78 97
2014 Q1 41.6M $1.41B -$28.1M $33.95 104