Dimensional Fund Advisors
TCF

Dimensional Fund Advisors’s TCF Financial Corporation Common Stock TCF Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2021
Q2
Sell
-6,491,692
Closed -$302M 3525
2021
Q1
$302M Sell
6,491,692
-61,893
-0.9% -$2.88M 0.1% 171
2020
Q4
$243M Buy
6,553,585
+30,821
+0.5% +$1.14M 0.09% 197
2020
Q3
$152M Buy
6,522,764
+8,051
+0.1% +$188K 0.06% 304
2020
Q2
$192M Sell
6,514,713
-398,825
-6% -$11.7M 0.08% 196
2020
Q1
$157M Sell
6,913,538
-519,596
-7% -$11.8M 0.08% 196
2019
Q4
$348M Sell
7,433,134
-1,071,845
-13% -$50.2M 0.13% 102
2019
Q3
$324M Buy
8,504,979
+4,580,622
+117% +$174M 0.13% 101
2019
Q2
$161M Buy
3,924,357
+290,648
+8% +$11.9M 0.06% 336
2019
Q1
$150M Buy
3,633,709
+443,875
+14% +$18.3M 0.06% 359
2018
Q4
$117M Buy
3,189,834
+185,916
+6% +$6.81M 0.05% 421
2018
Q3
$160M Sell
3,003,918
-13,795
-0.5% -$737K 0.06% 330
2018
Q2
$168M Sell
3,017,713
-47,180
-2% -$2.63M 0.07% 304
2018
Q1
$168M Buy
3,064,893
+28,154
+0.9% +$1.54M 0.07% 294
2017
Q4
$162M Buy
3,036,739
+65,639
+2% +$3.51M 0.07% 308
2017
Q3
$155M Buy
2,971,100
+44,421
+2% +$2.32M 0.07% 313
2017
Q2
$142M Buy
2,926,679
+99,498
+4% +$4.82M 0.07% 330
2017
Q1
$145M Sell
2,827,181
-146,329
-5% -$7.48M 0.07% 307
2016
Q4
$161M Sell
2,973,510
-98,974
-3% -$5.36M 0.08% 253
2016
Q3
$136M Buy
3,072,484
+532,042
+21% +$23.5M 0.07% 283
2016
Q2
$94.7M Buy
2,540,442
+190,500
+8% +$7.1M 0.05% 430
2016
Q1
$83.9M Buy
2,349,942
+134,080
+6% +$4.79M 0.05% 471
2015
Q4
$75.9M Buy
2,215,862
+87,971
+4% +$3.01M 0.05% 509
2015
Q3
$68.8M Buy
2,127,891
+49,410
+2% +$1.6M 0.05% 541
2015
Q2
$68.7M Buy
2,078,481
+62,898
+3% +$2.08M 0.04% 588
2015
Q1
$63.2M Buy
2,015,583
+50,669
+3% +$1.59M 0.04% 627
2014
Q4
$60.2M Buy
1,964,914
+57,259
+3% +$1.75M 0.04% 612
2014
Q3
$51.3M Buy
1,907,655
+24,947
+1% +$671K 0.04% 652
2014
Q2
$52.9M Buy
1,882,708
+34,958
+2% +$982K 0.04% 662
2014
Q1
$60M Buy
1,847,750
+11,512
+0.6% +$374K 0.04% 533
2013
Q4
$58.2M Sell
1,836,238
-20,150
-1% -$638K 0.05% 516
2013
Q3
$51.8M Buy
1,856,388
+4,789
+0.3% +$134K 0.04% 511
2013
Q2
$48.1M Buy
+1,851,599
New +$48.1M 0.05% 511