Taylor Morrison Home Corp - Class A, Common Stock (TMHC) Institutional Ownership

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

Type / Class
Equity / Class A, Common Stock
Symbol
TMHC on NYSE
Shares outstanding
101,783,176
Price per share
$58.87
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
94,043,070
Total reported value
$6,208,484,725
% of total 13F portfolios
0.01%
Share change
-2,194,013
Value change
-$118,888,980
Number of holders
455
Price from insider filings
$58.87
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Taylor Morrison Home Corp - Class A, Common Stock (TMHC) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 13% $768,281,802 13,333,596 BlackRock, Inc. 31 Mar 2025
DIMENSIONAL FUND ADVISORS LP 6.6% $388,264,649 6,738,366 Dimensional Fund Advisors LP 31 Mar 2025

As of 30 Sep 2025, 455 institutional investors reported holding 94,043,070 shares of Taylor Morrison Home Corp - Class A, Common Stock (TMHC). This represents 92% of the company’s total 101,783,176 outstanding shares.

Top 25 Institutional Shareholders

The largest institutional shareholders of Taylor Morrison Home Corp - Class A, Common Stock (TMHC) together control 65% of the company’s outstanding shares — a level of ownership often associated with strong institutional conviction and long‑term capital commitment.

Institution Ownership % Shares Held Share Change % Portfolio % Holdings Value
BlackRock, Inc. 14% 14,426,122 -5% 0.02% $952,268,343
VANGUARD GROUP INC 9.5% 9,675,874 -2.7% 0.01% $638,704,442
DIMENSIONAL FUND ADVISORS LP 6.2% 6,344,475 -1.4% 0.09% $418,801,650
STATE STREET CORP 4.5% 4,557,408 +0.57% 0.01% $300,834,502
GEODE CAPITAL MANAGEMENT, LLC 2.4% 2,471,474 -0.85% 0.01% $163,163,173
FULLER & THALER ASSET MANAGEMENT, INC. 2.3% 2,340,103 -0.13% 0.52% $154,470,184
T. Rowe Price Investment Management, Inc. 2.3% 2,338,158 +103% 0.09% $154,342,000
AQR CAPITAL MANAGEMENT LLC 2.2% 2,213,556 +74% 0.09% $146,116,831
FMR LLC 1.9% 1,916,399 +113% 0.01% $126,501,529
MORGAN STANLEY 1.8% 1,788,052 -5% 0.01% $118,029,381
DONALD SMITH & CO., INC. 1.7% 1,681,859 -6.2% 2.2% $111,019,513
NORTHERN TRUST CORP 1.4% 1,474,802 -3% 0.01% $97,351,680
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 1.4% 1,382,600 +0.59% 0.01% $91,265,426
Long Pond Capital, LP 1.4% 1,379,577 -12% 6.6% $91,065,878
MACQUARIE GROUP LTD 1.3% 1,320,812 -8.4% 0.1% $87,187,000
ALLIANCEBERNSTEIN L.P. 1.3% 1,284,221 +360% 0.03% $84,771,428
PRINCIPAL FINANCIAL GROUP INC 1.2% 1,260,521 -12% 0.04% $83,206,990
VICTORY CAPITAL MANAGEMENT INC 1.2% 1,208,689 +47% 0.05% $79,785,561
GOLDMAN SACHS GROUP INC 1.1% 1,138,343 +4.8% 0.01% $75,142,022
AMERICAN CENTURY COMPANIES INC 1.1% 1,135,097 +6.1% 0.04% $74,927,753
MILLENNIUM MANAGEMENT LLC 0.91% 928,739 -28% 0.05% $61,306,061
BAMCO INC /NY/ 0.91% 923,655 +0.01% 0.16% $60,970,467
Qube Research & Technologies Ltd 0.86% 873,995 -8.3% 0.08% $57,692,410
UBS Group AG 0.86% 873,152 +33% 0.01% $57,636,763
Freestone Grove Partners LP 0.85% 861,900 0.42% $56,894,019

Institutional Holders of Taylor Morrison Home Corp - Class A, Common Stock (TMHC) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 3,399,891 $200,241,524 +$43,920,336 $58.87 40
2025 Q3 94,043,070 $6,208,484,725 -$118,888,980 $66.01 455
2025 Q2 96,072,648 $5,902,490,771 +$26,063,218 $61.42 435
2025 Q1 95,619,282 $5,740,640,216 -$159,442,650 $60.04 439
2024 Q4 98,176,282 $6,009,448,758 -$113,135,342 $61.21 447
2024 Q3 99,601,517 $6,996,045,254 -$55,269,173 $70.26 413
2024 Q2 100,301,184 $5,562,113,399 -$134,231,513 $55.44 376
2024 Q1 102,620,466 $6,378,919,880 +$106,401,963 $62.17 364
2023 Q4 101,202,611 $5,399,294,350 -$131,085,045 $53.35 363
2023 Q3 104,180,744 $4,438,905,462 -$65,310,093 $42.61 339
2023 Q2 105,099,228 $5,124,778,945 +$98,830,543 $48.77 362
2023 Q1 103,954,133 $3,976,122,544 -$18,562,798 $38.26 324
2022 Q4 105,587,098 $3,204,887,049 -$1,284,103 $30.35 298
2022 Q3 105,975,310 $2,471,792,127 -$66,757,316 $23.32 276
2022 Q2 108,103,954 $2,524,728,080 -$94,387,315 $23.36 269
2022 Q1 112,879,019 $3,075,531,949 -$48,443,476 $27.22 268
2021 Q4 114,102,945 $3,988,398,578 -$52,991,733 $34.96 269
2021 Q3 115,581,213 $2,979,837,194 +$50,687,283 $25.78 247
2021 Q2 115,401,845 $3,048,529,467 -$71,303,067 $26.42 263
2021 Q1 117,632,653 $3,623,962,402 -$86,318,443 $30.81 262
2020 Q4 121,434,523 $3,115,231,054 +$33,653,391 $25.65 263
2020 Q3 122,044,540 $3,001,131,092 -$134,226,029 $24.59 261
2020 Q2 127,887,771 $2,467,007,869 -$4,979,884 $19.29 236
2020 Q1 129,541,960 $1,424,995,966 +$113,890,105 $11.00 232
2019 Q4 110,462,937 $2,413,130,479 +$83,740,538 $21.86 229
2019 Q3 105,914,184 $2,746,847,203 +$8,278,543 $25.94 218
2019 Q2 105,836,045 $2,217,790,088 -$66,291,933 $20.96 179
2019 Q1 111,241,552 $1,974,573,583 -$45,640,721 $17.75 159
2018 Q4 114,441,356 $1,819,618,457 -$1,884,985 $15.90 162
2018 Q3 114,026,061 $2,051,843,689 -$1,548,085 $18.04 152
2018 Q2 113,615,236 $2,360,873,363 -$3,924,027 $20.78 175
2018 Q1 113,269,567 $2,636,556,617 +$743,804,026 $23.28 194
2017 Q4 81,972,029 $2,005,950,655 +$248,597,026 $24.47 180
2017 Q3 72,093,995 $1,589,182,620 +$9,033,798 $22.05 166
2017 Q2 71,472,014 $1,716,016,242 +$515,319,526 $24.01 195
2017 Q1 50,044,714 $1,067,011,527 +$508,709,540 $21.32 150
2016 Q4 29,077,294 $559,979,441 -$5,331,273 $19.26 115
2016 Q3 29,442,990 $518,175,481 -$6,139,210 $17.60 109
2016 Q2 29,939,901 $444,305,241 -$15,401,295 $14.84 100
2016 Q1 30,987,554 $437,512,291 -$29,206,417 $14.12 108
2015 Q4 32,739,984 $523,840,512 -$47,473,070 $16.00 105
2015 Q3 35,276,818 $658,260,000 +$33,767,247 $18.66 107
2015 Q2 33,428,687 $680,614,973 -$6,158,328 $20.36 98
2015 Q1 33,723,134 $702,946,286 +$15,165,522 $20.85 96
2014 Q4 33,229,370 $627,601,183 +$1,319,377 $18.89 104
2014 Q3 33,314,723 $540,356,412 -$15,061,144 $16.22 96
2014 Q2 33,914,715 $760,481,957 +$2,215,297 $22.42 101
2014 Q1 34,155,881 $802,408,180 +$18,260,335 $23.50 110