Franklin Resources
MCD icon

Franklin Resources’s McDonald's MCD Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$940M Sell
3,217,593
-867,476
-21% -$253M 0.25% 97
2025
Q1
$1.28B Buy
4,085,069
+30,682
+0.8% +$9.58M 0.37% 61
2024
Q4
$1.18B Buy
4,054,387
+794,536
+24% +$230M 0.33% 70
2024
Q3
$1.01B Sell
3,259,851
-486,879
-13% -$151M 0.28% 87
2024
Q2
$955M Buy
3,746,730
+535,989
+17% +$137M 0.29% 82
2024
Q1
$905M Buy
3,210,741
+59,646
+2% +$16.8M 0.29% 87
2023
Q4
$934M Buy
3,151,095
+25,131
+0.8% +$7.45M 0.44% 52
2023
Q3
$824M Sell
3,125,964
-70,775
-2% -$18.6M 0.42% 50
2023
Q2
$954M Buy
3,196,739
+22,123
+0.7% +$6.6M 0.45% 49
2023
Q1
$888M Sell
3,174,616
-52,028
-2% -$14.5M 0.45% 47
2022
Q4
$850M Sell
3,226,644
-71,266
-2% -$18.8M 0.44% 50
2022
Q3
$761M Sell
3,297,910
-63,419
-2% -$14.6M 0.41% 53
2022
Q2
$830M Sell
3,361,329
-65,544
-2% -$16.2M 0.41% 54
2022
Q1
$847M Buy
3,426,873
+80,017
+2% +$19.8M 0.34% 71
2021
Q4
$897M Sell
3,346,856
-9,036
-0.3% -$2.42M 0.32% 74
2021
Q3
$809M Buy
3,355,892
+102,016
+3% +$24.6M 0.3% 88
2021
Q2
$752M Buy
3,253,876
+18,153
+0.6% +$4.19M 0.29% 90
2021
Q1
$725M Buy
3,235,723
+46,429
+1% +$10.4M 0.3% 89
2020
Q4
$684M Buy
3,189,294
+184,101
+6% +$39.5M 0.29% 92
2020
Q3
$660M Sell
3,005,193
-593,078
-16% -$130M 0.32% 78
2020
Q2
$715M Buy
3,598,271
+159,358
+5% +$31.7M 0.37% 67
2020
Q1
$569M Buy
3,438,913
+586,654
+21% +$97M 0.38% 65
2019
Q4
$564M Buy
2,852,259
+55,210
+2% +$10.9M 0.3% 91
2019
Q3
$596M Buy
2,797,049
+57,320
+2% +$12.2M 0.32% 83
2019
Q2
$569M Sell
2,739,729
-81,222
-3% -$16.9M 0.3% 92
2019
Q1
$536M Buy
2,820,951
+6,596
+0.2% +$1.25M 0.29% 96
2018
Q4
$500M Sell
2,814,355
-57,535
-2% -$10.2M 0.3% 87
2018
Q3
$480M Sell
2,871,890
-11,146
-0.4% -$1.86M 0.24% 115
2018
Q2
$452M Sell
2,883,036
-24,075
-0.8% -$3.77M 0.23% 114
2018
Q1
$455M Buy
2,907,111
+100,467
+4% +$15.7M 0.23% 119
2017
Q4
$483M Sell
2,806,644
-38,138
-1% -$6.57M 0.23% 123
2017
Q3
$446M Sell
2,844,782
-1,881
-0.1% -$295K 0.22% 129
2017
Q2
$436M Sell
2,846,663
-44,389
-2% -$6.8M 0.22% 123
2017
Q1
$375M Sell
2,891,052
-89,934
-3% -$11.7M 0.19% 143
2016
Q4
$363M Sell
2,980,986
-55,417
-2% -$6.75M 0.19% 138
2016
Q3
$350M Buy
3,036,403
+37,149
+1% +$4.28M 0.18% 146
2016
Q2
$361M Sell
2,999,254
-94,251
-3% -$11.3M 0.19% 139
2016
Q1
$389M Sell
3,093,505
-482,652
-13% -$60.7M 0.21% 132
2015
Q4
$422M Sell
3,576,157
-687,129
-16% -$81.2M 0.21% 125
2015
Q3
$420M Sell
4,263,286
-166,654
-4% -$16.4M 0.21% 129
2015
Q2
$421M Sell
4,429,940
-503,034
-10% -$47.8M 0.19% 139
2015
Q1
$481M Sell
4,932,974
-189,986
-4% -$18.5M 0.22% 124
2014
Q4
$480M Sell
5,122,960
-88,556
-2% -$8.3M 0.22% 124
2014
Q3
$494M Sell
5,211,516
-297,560
-5% -$28.2M 0.23% 118
2014
Q2
$555M Sell
5,509,076
-1,366,187
-20% -$138M 0.24% 113
2014
Q1
$674M Buy
6,875,263
+65,868
+1% +$6.46M 0.32% 89
2013
Q4
$661M Buy
6,809,395
+815,854
+14% +$79.2M 0.32% 90
2013
Q3
$577M Buy
5,993,541
+777,212
+15% +$74.8M 0.31% 91
2013
Q2
$516M Buy
+5,216,329
New +$516M 0.29% 95