TRICON RESIDENTIAL INC. - Common Shares (TCN)

Historical Holders from Q4 2016 to Q2 2024

Symbol
TCN
Type / Class
Equity / Common Shares
All holders as of 30 Jun 2024
Q2 2024
Total 13F shares, excl. options
0
Holdings value
$0
Grand Portfolio weight change
-0.003%
Number of holders
0
Number of sells
-159
Average Value change %
-0.03%
Average sells %
-0.029%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of TRICON RESIDENTIAL INC. - Common Shares (TCN)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 0 $0 -$2.12B 0
2024 Q1 190M $2.12B +$508M $11.15 160
2023 Q4 156M $1.42B +$9.95M $9.10 144
2023 Q3 157M $1.18B +$28.2M $7.40 135
2023 Q2 153M $1.35B +$82.6M $8.81 138
2023 Q1 146M $1.13B -$36.3M $7.75 134
2022 Q4 147M $1.14B -$89.3M $7.71 131
2022 Q3 155M $1.38B -$4.48M $8.65 127
2022 Q2 145M $1.47B -$19.5M $10.14 125
2022 Q1 144M $2.3B +$133M $15.89 124
2021 Q4 136M $2.08B +$2.04B $15.28 109
2021 Q3 283K $3.77M +$3.77M $13.32 1
2020 Q4 0 $0 -$276K 0
2020 Q3 33.4K $276K -$2.19M $8.27 1
2020 Q2 298K $2M -$188K $6.72 1
2020 Q1 326K $1.58M -$79.4K $4.84 1
2019 Q4 342K $2.8M +$384K $8.20 1
2019 Q3 295K $2.27M -$642K $7.67 1
2019 Q2 379K $2.9M +$25.9K $7.65 1
2019 Q1 375K $3.24M -$33K $8.62 1
2018 Q4 379K $2.69M -$3.37M $7.10 1
2018 Q3 854K $7.19M +$1.77M $8.42 1
2018 Q2 645K $5.4M -$72.4K $8.38 1
2018 Q1 653K $4.99M -$2.8M $7.64 1
2017 Q4 1.02M $9.4M +$629K $9.22 1
2017 Q3 952K $7.71M -$621K $8.10 1
2017 Q2 1.03M $9.2M +$2.14M $8.95 1
2017 Q1 789K $6.46M +$984K $8.19 1
2016 Q4 669K $4.72M +$4.72M $7.05 1