Container Store Group, Inc. - Common Stock, par value $0.01 per share (TCS) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / Common Stock, par value $0.01 per share
Symbol
TCS on NYSE
Price per share
$1.00
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
1
Total reported value
$1
Share change
0
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 31 Dec 2025, 1 institutional investors reported holding 1 shares of Container Store Group, Inc. - Common Stock, par value $0.01 per share (TCS).

Institutional Holders of Container Store Group, Inc. - Common Stock, par value $0.01 per share (TCS) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 1 $1 $1.00 1
2025 Q3 1 $1 $1.00 1
2025 Q2 1 $1 $1.00 1
2025 Q1 1 $1 $1.00 1
2024 Q4 1 $1 -$559,807 $1.00 1
2024 Q3 145,059 $559,808 -$25,232,473 $6.22 6
2024 Q2 30,986,336 $16,733,395 -$1,203,490 $0.54 62
2024 Q1 32,517,783 $37,070,779 -$6,304,129 $1.14 63
2023 Q4 34,572,249 $78,825,769 +$1,126,482 $2.28 74
2023 Q3 34,729,557 $78,087,834 -$2,992,768 $2.25 74
2023 Q2 35,726,728 $112,186,114 -$17,507,496 $3.14 97
2023 Q1 41,049,566 $140,739,738 -$4,468,009 $3.43 107
2022 Q4 41,802,437 $180,160,884 -$2,590,283 $4.31 138
2022 Q3 42,070,630 $206,139,988 -$5,001,855 $4.90 120
2022 Q2 42,364,726 $263,983,681 -$6,265,615 $6.23 130
2022 Q1 42,730,828 $349,073,054 -$7,936,780 $8.17 124
2021 Q4 42,952,098 $427,007,606 -$4,604,546 $9.98 133
2021 Q3 42,824,705 $408,225,860 -$4,776,320 $9.52 121
2021 Q2 43,027,716 $561,077,834 +$9,993,041 $13.04 128
2021 Q1 41,868,694 $696,507,983 -$12,555,594 $16.64 128
2020 Q4 43,627,125 $416,201,829 +$8,955,305 $9.54 115
2020 Q3 42,798,195 $265,784,833 +$4,402,718 $6.21 87
2020 Q2 42,126,487 $136,487,235 -$3,489,112 $3.24 63
2020 Q1 43,753,571 $103,256,107 -$2,109,242 $2.36 64
2019 Q4 43,677,482 $184,315,657 +$12,327,071 $4.22 83
2019 Q3 40,694,124 $179,858,560 -$4,916,194 $4.42 99
2019 Q2 41,209,817 $301,634,176 +$18,076,886 $7.32 103
2019 Q1 38,910,917 $342,416,246 +$1,513,128 $8.80 93
2018 Q4 39,134,173 $186,662,181 -$5,193,991 $4.77 82
2018 Q3 38,824,610 $430,935,435 +$20,522,958 $11.10 96
2018 Q2 37,131,927 $312,283,774 -$734,374 $8.41 85
2018 Q1 37,472,530 $203,852,810 -$3,171,500 $5.44 87
2017 Q4 38,098,987 $180,592,059 +$2,938,320 $4.74 83
2017 Q3 37,424,355 $157,557,793 -$4,911,486 $4.21 77
2017 Q2 38,215,262 $226,237,915 +$5,835,446 $5.92 84
2017 Q1 37,341,904 $157,951,637 -$2,052,099 $4.23 76
2016 Q4 37,957,367 $241,025,065 -$4,004,446 $6.35 98
2016 Q3 38,616,834 $193,764,129 -$64,093 $5.02 77
2016 Q2 38,585,762 $206,409,992 +$262,781 $5.35 88
2016 Q1 38,502,126 $226,342,000 +$3,401,498 $5.87 76
2015 Q4 39,228,883 $321,697,014 -$11,433,553 $8.20 88
2015 Q3 39,755,244 $559,850,082 +$4,376,882 $14.08 76
2015 Q2 39,983,250 $675,331,719 -$8,813,737 $16.87 82
2015 Q1 40,338,080 $767,750,898 +$43,290,217 $19.05 80
2014 Q4 38,066,816 $731,050,022 -$22,380,077 $19.13 85
2014 Q3 39,078,190 $850,053,072 -$72,700,927 $21.77 82
2014 Q2 42,018,377 $1,167,746,026 -$10,203,008 $27.78 91
2014 Q1 41,054,858 $1,393,731,139 -$27,160,808 $33.95 96