TELEDYNE TECHNOLOGIES INC - COM (TDY)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
42.9M
Holdings value Q2 2024
$16.6B
Value change Q2 2024
-$9.7M
Grand Portfolio weight change Q2 2024
0%
Number of holders
655
Number of buys Q2 2024
331
Number of sells Q2 2024
-267
Average buys Q2 2024 %
+0.339%
Average sells Q2 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 19.4K $8.45M -$1.9M $437.66 9
2024 Q2 42.9M $16.6B -$9.7M $387.98 656
2024 Q1 43M $18.4B -$219M $429.32 634
2023 Q4 43.3M $19.3B +$300M $446.29 629
2023 Q3 42.4M $17.3B +$289M $408.58 581
2023 Q2 41.7M $17.1B -$553M $411.11 605
2023 Q1 42.9M $19.2B +$68.7M $447.36 585
2022 Q4 42.9M $17.1B -$98.2M $399.91 584
2022 Q3 43.1M $14.6B -$645M $337.47 544
2022 Q2 42.2M $15.8B +$222M $375.11 568
2022 Q1 41.7M $19.7B +$370M $472.63 606
2021 Q4 40.9M $17.9B -$219M $436.89 593
2021 Q3 40.8M $17.5B +$31.4M $429.58 562
2021 Q2 40.8M $17.1B +$2.47B $418.83 566
2021 Q1 34.8M $14.4B +$982M $413.65 479
2020 Q4 32.4M $12.7B +$232M $391.98 451
2020 Q3 31.8M $9.87B -$208M $310.21 432
2020 Q2 32.5M $10.1B +$356M $310.95 438
2020 Q1 31.3M $9.31B +$45.5M $297.27 420
2019 Q4 31.1M $10.8B +$26.1M $346.54 442
2019 Q3 31.1M $10B +$15.4M $321.99 386
2019 Q2 31.1M $8.52B +$158M $273.87 349
2019 Q1 30.8M $7.3B +$51.2M $237.01 333
2018 Q4 30.6M $6.34B -$22.2M $207.07 304
2018 Q3 30.7M $7.58B +$99.4M $246.68 327
2018 Q2 30.4M $6.05B +$23M $199.06 311
2018 Q1 30.3M $5.67B +$31M $187.17 302
2017 Q4 30.2M $5.47B -$17.4M $181.15 286
2017 Q3 30.1M $4.8B +$76.1M $159.18 256
2017 Q2 29.4M $3.76B +$275M $127.65 254
2017 Q1 29.7M $3.76B +$441M $126.46 240
2016 Q4 30.1M $3.7B -$78.6M $123.00 246
2016 Q3 30.7M $3.31B -$106K $107.93 221
2016 Q2 30.7M $3.04B +$8.64M $99.05 210
2016 Q1 30.6M $2.7B +$30.5M $88.14 211
2015 Q4 30M $2.65B -$15.9M $88.70 204
2015 Q3 30M $2.71B -$43.3M $90.30 202
2015 Q2 30.5M $3.22B -$8.21M $105.51 207
2015 Q1 30.6M $3.26B -$34.1M $106.73 215
2014 Q4 31M $3.18B -$64.9M $102.74 216
2014 Q3 31.6M $2.97B +$9.76M $94.01 198
2014 Q2 31.5M $3.06B -$2.27M $97.17 189
2014 Q1 31.5M $3.07B +$55.3M $97.33 200