TreeHouse Foods, Inc. - COM (THS)

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
57.4M
Holdings value Q2 2024
$2.1B
Value change Q2 2024
+$27.8M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
215
Number of buys Q2 2024
102
Number of sells Q2 2024
-96
Average buys Q2 2024 %
+0.003%
Average sells Q2 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 35.3K $1.48M +$500K $41.98 5
2024 Q2 57.4M $2.1B +$27.8M $36.64 215
2024 Q1 56.6M $2.21B +$21.1M $38.95 198
2023 Q4 55.9M $2.32B -$38.3M $41.45 218
2023 Q3 57M $2.48B -$12.2M $43.58 228
2023 Q2 57M $2.87B +$31.8M $50.38 232
2023 Q1 56.3M $2.84B -$31.6M $50.43 234
2022 Q4 57M $2.82B -$70.8M $49.38 231
2022 Q3 58.5M $2.48B -$307M $42.42 227
2022 Q2 59M $2.47B +$45.5M $41.82 225
2022 Q1 58.3M $1.88B -$71.4M $32.26 213
2021 Q4 59.3M $2.4B -$40.3M $40.53 216
2021 Q3 60.2M $2.4B +$29.5M $39.88 216
2021 Q2 60M $2.67B +$46.2M $44.52 231
2021 Q1 58.6M $3.06B -$79.6M $52.24 250
2020 Q4 60.6M $2.57B -$706K $42.49 238
2020 Q3 60.6M $2.46B -$12.6M $40.53 242
2020 Q2 60.8M $2.66B +$66.3M $43.80 269
2020 Q1 59.3M $2.62B -$32.4M $44.15 229
2019 Q4 59.9M $2.9B -$90.9M $48.50 255
2019 Q3 62M $3.43B +$48.9M $55.45 247
2019 Q2 61.1M $3.3B +$83.5M $54.10 242
2019 Q1 59.5M $3.84B -$428M $64.55 284
2018 Q4 65.7M $3.33B +$137M $50.71 258
2018 Q3 63M $3.01B +$60.7M $47.85 258
2018 Q2 61.6M $3.23B +$55.5M $52.51 250
2018 Q1 61.6M $2.36B -$102M $38.27 243
2017 Q4 63.3M $3.13B -$393M $49.46 248
2017 Q3 68.8M $4.66B +$26.7M $67.73 266
2017 Q2 67.5M $5.51B +$213M $81.69 282
2017 Q1 64.9M $5.49B +$454M $84.66 289
2016 Q4 64M $4.62B +$10.5M $72.19 276
2016 Q3 62.2M $5.42B +$149M $87.19 297
2016 Q2 60.4M $6.21B +$5.96M $102.65 285
2016 Q1 61M $5.29B +$1.29B $86.75 272
2015 Q4 45.4M $3.56B +$84.9M $78.46 247
2015 Q3 44.7M $3.48B +$70.9M $77.79 228
2015 Q2 43.4M $3.52B +$78.1M $81.03 219
2015 Q1 42.9M $3.65B +$51.1M $85.02 220
2014 Q4 42.5M $3.64B +$133M $85.53 225
2014 Q3 41.4M $3.34B +$430M $80.50 213
2014 Q2 36.2M $2.89B -$15.9M $80.07 195
2014 Q1 37M $2.66B +$84.1M $71.99 197