TAUBMAN CTRS INC - COM (TCO)

Historical Holders from Q1 2014 to Q1 2021

Type / Class
Equity / COM
Symbol
TCO
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of TAUBMAN CTRS INC - COM (TCO) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2021 Q1 0 $0 -$4,776,000 0
2020 Q4 136,518 $4,815,465 -$2,174,702,392 4,266.67% 3
2020 Q3 66,648,146 $2,218,919,032 -$74,284,640 3,329% 242
2020 Q2 69,416,423 $2,621,546,764 +$75,266,971 3,776% 256
2020 Q1 65,101,304 $2,726,630,568 +$241,683,155 4,188% 246
2019 Q4 63,527,692 $1,974,534,223 -$3,549,749 3,108.99% 234
2019 Q3 62,239,239 $2,541,898,353 +$51,891,230 4,083% 237
2019 Q2 61,563,833 $2,513,830,375 +$17,593,289 4,083% 247
2019 Q1 61,624,027 $3,259,427,372 +$17,979,576 5,287.99% 229
2018 Q4 61,694,632 $2,807,761,284 -$127,057,754 4,548.97% 236
2018 Q3 63,350,917 $3,790,093,310 +$59,091,591 5,983% 251
2018 Q2 62,377,391 $3,668,560,385 -$78,231,947 5,875.96% 254
2018 Q1 63,722,019 $3,629,739,462 -$526,970,928 5,691.01% 246
2017 Q4 72,538,404 $4,746,434,767 +$692,090,000 6,542.97% 243
2017 Q3 62,445,154 $3,103,800,599 +$42,830,698 4,970% 223
2017 Q2 61,428,601 $3,657,233,380 -$16,551,693 5,955% 228
2017 Q1 61,467,568 $4,057,692,180 +$516,034,424 6,601.92% 238
2016 Q4 59,529,638 $4,399,748,753 +$76,892,918 7,392.99% 239
2016 Q3 60,085,487 $4,469,156,470 -$60,592,890 7,440.93% 249
2016 Q2 60,941,423 $4,521,932,841 +$140,789,698 7,419.95% 259
2016 Q1 58,906,080 $4,195,033,657 -$158,059,382 7,122.96% 262
2015 Q4 60,972,881 $4,677,899,171 +$74,471,744 7,671.99% 259
2015 Q3 59,865,454 $4,134,937,543 -$108,589,519 6,908% 260
2015 Q2 61,569,896 $4,279,123,198 +$15,254,686 6,950.03% 259
2015 Q1 62,013,722 $4,784,395,993 -$248,563,902 7,713.02% 267
2014 Q4 64,634,860 $4,941,299,833 -$70,836,444 7,641.98% 256
2014 Q3 65,379,495 $4,772,841,621 +$26,963,598 7,300.03% 236
2014 Q2 65,039,461 $4,930,193,230 -$88,712,487 7,581.01% 235
2014 Q1 65,768,981 $4,655,348,809 +$246,260,776 7,079% 222