Ameritas Investment Partners’s Tyson Foods TSN Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$151K Sell
2,702
-193
-7% -$10.8K ﹤0.01% 1475
2025
Q1
$185K Hold
2,895
0.01% 1310
2024
Q4
$166K Hold
2,895
0.01% 1432
2024
Q3
$172K Sell
2,895
-217
-7% -$12.9K 0.01% 1415
2024
Q2
$178K Sell
3,112
-184
-6% -$10.5K 0.01% 1355
2024
Q1
$194K Hold
3,296
0.01% 1311
2023
Q4
$177K Hold
3,296
0.01% 1346
2023
Q3
$166K Sell
3,296
-352
-10% -$17.8K 0.01% 1304
2023
Q2
$186K Hold
3,648
0.01% 1174
2023
Q1
$216K Hold
3,648
0.01% 1047
2022
Q4
$241K Hold
3,648
0.01% 1026
2022
Q3
$240K Hold
3,648
0.01% 977
2022
Q2
$313K Sell
3,648
-217
-6% -$18.6K 0.01% 877
2022
Q1
$346K Hold
3,865
0.01% 911
2021
Q4
$337K Sell
3,865
-310
-7% -$27K 0.01% 931
2021
Q3
$330K Hold
4,175
0.01% 911
2021
Q2
$308K Hold
4,175
0.01% 954
2021
Q1
$310K Sell
4,175
-326
-7% -$24.2K 0.01% 934
2020
Q4
$290K Hold
4,501
0.01% 943
2020
Q3
$268K Sell
4,501
-315
-7% -$18.8K 0.01% 903
2020
Q2
$288K Hold
4,816
0.01% 874
2020
Q1
$279K Sell
4,816
-191
-4% -$11.1K 0.02% 806
2019
Q4
$456K Hold
5,007
0.02% 772
2019
Q3
$431K Sell
5,007
-215
-4% -$18.5K 0.02% 778
2019
Q2
$422K Hold
5,222
0.02% 775
2019
Q1
$363K Hold
5,222
0.02% 814
2018
Q4
$279K Sell
5,222
-443
-8% -$23.7K 0.02% 834
2018
Q3
$337K Hold
5,665
0.02% 841
2018
Q2
$390K Sell
5,665
-489
-8% -$33.7K 0.02% 791
2018
Q1
$450K Sell
6,154
-447
-7% -$32.7K 0.02% 771
2017
Q4
$535K Hold
6,601
0.02% 730
2017
Q3
$417K Hold
6,601
0.02% 795
2017
Q2
$413K Hold
6,601
0.02% 797
2017
Q1
$407K Sell
6,601
-510
-7% -$31.4K 0.02% 802
2016
Q4
$439K Hold
7,111
0.02% 776
2016
Q3
$531K Buy
7,111
+1,170
+20% +$87.4K 0.03% 729
2016
Q2
$397K Buy
5,941
+230
+4% +$15.4K 0.03% 720
2016
Q1
$381K Hold
5,711
0.03% 721
2015
Q4
$305K Hold
5,711
0.02% 793
2015
Q3
$246K Buy
5,711
+263
+5% +$11.3K 0.02% 841
2015
Q2
$232K Hold
5,448
0.02% 918
2015
Q1
$209K Hold
5,448
0.01% 988
2014
Q4
$218K Hold
5,448
0.01% 952
2014
Q3
$214K Buy
5,448
+10
+0.2% +$393 0.02% 942
2014
Q2
$204K Hold
5,438
0.01% 995
2014
Q1
$239K Buy
+5,438
New +$239K 0.02% 900