TYSON FOODS, INC. - Class A Stock (TSN)

Historical Holders from Q1 2014 to Q3 2025

Symbol
TSN on NYSE
Type / Class
Equity / Class A Stock
Shares outstanding
287,737,046
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
242,446,818
Holdings value
$13,160,886,791
% of all portfolios
0.01%
Number of holders
795
Number of buys
412
Number of sells
-381
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of TYSON FOODS, INC. - Class A Stock (TSN)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 8.7% -14% $1,516,506,591 -$231,806,583 25,033,123 -13% BlackRock, Inc. 31 Mar 2025

Institutional Holders of TYSON FOODS, INC. - Class A Stock (TSN)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 242,446,818 $13,160,886,791 -$115,465,635 $54.3 795
2025 Q2 244,395,549 $13,668,081,774 +$237,885,646 $55.94 821
2025 Q1 241,081,187 $15,379,244,026 +$57,828,354 $63.81 835
2024 Q4 240,360,394 $13,804,068,290 -$54,516,604 $57.44 817
2024 Q3 240,275,719 $14,305,820,899 +$156,829,565 $59.56 800
2024 Q2 235,778,839 $13,470,961,090 +$46,065,492 $57.14 762
2024 Q1 235,543,602 $13,833,079,011 -$10,901,932 $58.73 775
2023 Q4 235,439,600 $12,656,298,595 +$104,516,956 $53.75 744
2023 Q3 233,171,560 $11,766,028,678 +$225,661,676 $50.49 732
2023 Q2 228,126,998 $11,654,811,173 -$139,715,669 $51.04 761
2023 Q1 229,793,908 $13,622,986,656 -$140,259,300 $59.32 818
2022 Q4 235,676,351 $14,677,652,095 -$431,936,443 $62.25 853
2022 Q3 241,239,864 $15,912,669,349 -$129,218,106 $65.93 851
2022 Q2 241,226,063 $20,755,728,966 -$56,463,744 $86.06 918
2022 Q1 244,470,018 $21,909,061,576 +$184,179,327 $89.63 934
2021 Q4 242,247,297 $21,115,142,142 -$64,581,911 $87.16 915
2021 Q3 241,691,971 $19,082,541,195 +$141,039,292 $78.94 828
2021 Q2 240,260,190 $17,715,730,451 +$142,805,273 $73.76 803
2021 Q1 237,794,595 $17,673,402,489 +$460,434,882 $74.3 794
2020 Q4 232,168,459 $14,953,150,092 -$173,263,428 $64.44 779
2020 Q3 235,426,148 $13,995,108,252 +$18,329,081 $59.48 729
2020 Q2 234,730,423 $13,999,207,016 -$530,224,548 $59.71 719
2020 Q1 243,513,269 $14,081,085,766 -$596,379,922 $57.87 713
2019 Q4 248,482,017 $22,609,560,845 -$318,708,412 $91.04 763
2019 Q3 251,480,251 $21,650,799,962 -$134,953,131 $86.14 733
2019 Q2 253,338,228 $20,447,032,803 +$122,713,299 $80.74 744
2019 Q1 253,870,066 $17,623,179,120 +$104,044,885 $69.43 693
2018 Q4 254,155,747 $13,571,961,912 +$23,473,861 $53.4 674
2018 Q3 252,680,966 $15,029,341,124 -$364,590,447 $59.53 669
2018 Q2 258,762,148 $17,799,174,280 -$601,706,260 $68.85 679
2018 Q1 265,485,299 $19,426,616,405 +$212,549,519 $73.19 683
2017 Q4 263,237,781 $21,334,319,990 -$62,608,858 $81.07 702
2017 Q3 264,586,591 $18,620,186,595 +$326,645,652 $70.45 633
2017 Q2 260,132,712 $16,285,774,617 +$160,259,726 $62.63 618
2017 Q1 260,896,510 $16,099,844,485 +$1,318,486,330 $61.71 623
2016 Q4 256,759,026 $15,806,389,821 -$492,940,929 $61.68 618
2016 Q3 261,885,460 $19,545,755,741 -$895,759,573 $74.67 626
2016 Q2 274,277,804 $18,316,753,777 +$680,846,248 $66.79 616
2016 Q1 263,048,583 $17,534,151,060 -$335,533,892 $66.66 599
2015 Q4 269,854,588 $14,391,553,186 -$621,486,313 $53.33 583
2015 Q3 285,594,979 $12,308,353,342 +$608,780,097 $43.1 543
2015 Q2 272,451,765 $11,615,752,364 -$79,691,707 $42.63 553
2015 Q1 275,190,959 $10,542,886,021 -$282,759,120 $38.3 538
2014 Q4 281,564,798 $11,289,312,832 -$404,795,275 $40.09 539
2014 Q3 290,856,243 $11,450,173,778 +$1,524,055,574 $39.37 505
2014 Q2 251,829,561 $9,453,609,043 -$19,414,021 $37.54 479
2014 Q1 249,609,979 $10,975,724,605 -$454,783,355 $44.01 457