TEXTRON INC - COM (TXT)

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
157M
Holdings value Q3 2024
$13.9B
Value change Q3 2024
-$108M
Grand Portfolio weight change Q3 2024
0%
Number of holders
668
Number of buys Q3 2024
277
Number of sells Q3 2024
-297
Average buys Q3 2024 %
+0.001%
Average sells Q3 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 157M $13.9B -$108M $88.58 675
2024 Q2 159M $13.6B -$219M $85.86 665
2024 Q1 161M $15.5B -$321M $95.93 692
2023 Q4 165M $13.3B -$75.6M $80.42 636
2023 Q3 166M $13B -$271M $78.14 568
2023 Q2 170M $11.5B -$463M $67.63 554
2023 Q1 177M $12.5B +$265M $70.63 558
2022 Q4 173M $12.2B -$266M $70.80 547
2022 Q3 177M $10.3B -$1.74B $58.26 489
2022 Q2 185M $11.3B -$79M $61.07 489
2022 Q1 187M $13.9B +$71.5M $74.38 504
2021 Q4 186M $14.4B -$210M $77.20 537
2021 Q3 188M $13.2B -$262M $69.81 491
2021 Q2 192M $13.2B +$65M $68.77 463
2021 Q1 192M $10.7B -$73.3M $56.08 420
2020 Q4 193M $9.35B -$95.5M $48.33 436
2020 Q3 196M $7.07B +$89.1M $36.09 394
2020 Q2 194M $6.37B +$196M $32.91 389
2020 Q1 188M $5.02B -$224M $26.67 392
2019 Q4 191M $8.53B -$92.3M $44.60 447
2019 Q3 193M $9.45B +$122M $48.96 433
2019 Q2 190M $10.1B -$123M $53.04 469
2019 Q1 196M $9.9B -$96.2M $50.66 490
2018 Q4 196M $9.02B -$452M $45.99 488
2018 Q3 204M $14.5B -$137M $71.47 510
2018 Q2 206M $13.6B -$545M $65.91 485
2018 Q1 214M $12.6B -$226M $58.97 457
2017 Q4 218M $12.3B +$102M $56.59 458
2017 Q3 216M $11.6B +$17.4M $53.88 421
2017 Q2 216M $10.2B -$250M $47.10 401
2017 Q1 221M $10.5B +$650M $47.59 411
2016 Q4 223M $10.8B +$196M $48.56 418
2016 Q3 220M $8.73B +$123M $39.75 375
2016 Q2 217M $7.94B -$7.73M $36.56 391
2016 Q1 217M $7.91B -$314M $36.46 384
2015 Q4 224M $9.39B +$57.8M $42.01 417
2015 Q3 225M $8.48B +$88.3M $37.64 402
2015 Q2 222M $9.92B -$18.8M $44.63 421
2015 Q1 223M $9.88B +$27.4M $44.33 408
2014 Q4 223M $9.38B +$68.6M $42.11 403
2014 Q3 217M $7.82B -$169M $35.99 374
2014 Q2 226M $8.66B -$47.8M $38.29 366
2014 Q1 227M $8.92B +$71.1M $39.29 353