AAMU
TJX icon

Amundi Asset Management US’s TJX Companies TJX Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2021
Q1
$687M Buy
10,378,806
+2,485,264
+31% +$164M 0.53% 39
2020
Q4
$539M Buy
7,893,542
+3,173,259
+67% +$217M 0.46% 43
2020
Q3
$263M Buy
4,720,283
+1,730,068
+58% +$96.3M 0.28% 76
2020
Q2
$151M Buy
2,990,215
+288,330
+11% +$14.6M 0.18% 115
2020
Q1
$129M Sell
2,701,885
-901,298
-25% -$43.1M 0.23% 91
2019
Q4
$220M Sell
3,603,183
-373,538
-9% -$22.8M 0.26% 94
2019
Q3
$222M Sell
3,976,721
-338,553
-8% -$18.9M 0.33% 68
2019
Q2
$228M Buy
4,315,274
+1,042,674
+32% +$55.1M 0.19% 122
2019
Q1
$174M Sell
3,272,600
-474,102
-13% -$25.2M 0.24% 97
2018
Q4
$168K Buy
3,746,702
+1,794,024
+92% +$80.3K 0.15% 105
2018
Q3
$219M Buy
1,952,678
+11,547
+0.6% +$1.29M 0.29% 84
2018
Q2
$185M Buy
1,941,131
+398,470
+26% +$37.9M 0.27% 91
2018
Q1
$126M Buy
1,542,661
+90,568
+6% +$7.39M 0.2% 122
2017
Q4
$111M Buy
1,452,093
+578,468
+66% +$44.2M 0.17% 145
2017
Q3
$64.4M Sell
873,625
-228,010
-21% -$16.8M 0.21% 106
2017
Q2
$79.5M Buy
1,101,635
+98,771
+10% +$7.13M 0.26% 92
2017
Q1
$79.3M Sell
1,002,864
-123,202
-11% -$9.74M 0.27% 90
2016
Q4
$84.6M Sell
1,126,066
-460,291
-29% -$34.6M 0.3% 82
2016
Q3
$119M Sell
1,586,357
-307,095
-16% -$23M 0.43% 63
2016
Q2
$146M Sell
1,893,452
-64,200
-3% -$4.96M 0.53% 56
2016
Q1
$153M Sell
1,957,652
-4,395
-0.2% -$344K 0.57% 50
2015
Q4
$139M Buy
1,962,047
+225,219
+13% +$16M 0.52% 57
2015
Q3
$124M Buy
1,736,828
+222,627
+15% +$15.9M 0.51% 59
2015
Q2
$100M Sell
1,514,201
-1,014
-0.1% -$67.1K 0.37% 80
2015
Q1
$106M Sell
1,515,215
-12,993
-0.9% -$910K 0.38% 80
2014
Q4
$105M Sell
1,528,208
-11,130
-0.7% -$763K 0.38% 82
2014
Q3
$91.1M Buy
1,539,338
+145,745
+10% +$8.62M 0.34% 89
2014
Q2
$74.1M Sell
1,393,593
-17,868
-1% -$950K 0.28% 104
2014
Q1
$85.6M Sell
1,411,461
-11,711
-0.8% -$710K 0.33% 91
2013
Q4
$90.7M Sell
1,423,172
-9,081
-0.6% -$579K 0.35% 90
2013
Q3
$80.8M Sell
1,432,253
-18,901
-1% -$1.07M 0.33% 91
2013
Q2
$72.6M Buy
+1,451,154
New +$72.6M 0.3% 103