Franklin Resources
TCF

Franklin Resources’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
-13,656
Closed -$635K 2107
2021
Q1
$635K Sell
13,656
-762,210
-98% -$35.4M ﹤0.01% 1563
2020
Q4
$28.7M Sell
775,866
-644,894
-45% -$23.9M 0.01% 737
2020
Q3
$33.2M Buy
1,420,760
+81,811
+6% +$1.91M 0.02% 654
2020
Q2
$38M Sell
1,338,949
-81,119
-6% -$2.3M 0.02% 597
2020
Q1
$32.2M Sell
1,420,068
-951,509
-40% -$21.6M 0.02% 563
2019
Q4
$111M Buy
2,371,577
+43,781
+2% +$2.05M 0.06% 355
2019
Q3
$88.6M Sell
2,327,796
-141,503
-6% -$5.39M 0.05% 393
2019
Q2
$102M Sell
2,469,299
-90,757
-4% -$3.73M 0.05% 373
2019
Q1
$105M Sell
2,560,056
-61,955
-2% -$2.55M 0.06% 343
2018
Q4
$96M Sell
2,622,011
-317,450
-11% -$11.6M 0.06% 342
2018
Q3
$157M Sell
2,939,461
-283,962
-9% -$15.2M 0.08% 274
2018
Q2
$179M Buy
3,223,423
+278,366
+9% +$15.5M 0.09% 242
2018
Q1
$161M Buy
2,945,057
+258,881
+10% +$14.2M 0.08% 258
2017
Q4
$144M Buy
2,686,176
+146,917
+6% +$7.86M 0.07% 295
2017
Q3
$133M Sell
2,539,259
-17,036
-0.7% -$890K 0.07% 297
2017
Q2
$124M Sell
2,556,295
-75,823
-3% -$3.67M 0.06% 304
2017
Q1
$135M Buy
2,632,118
+117,826
+5% +$6.03M 0.07% 288
2016
Q4
$136M Sell
2,514,292
-114,049
-4% -$6.18M 0.07% 273
2016
Q3
$116M Buy
2,628,341
+743,690
+39% +$32.8M 0.06% 316
2016
Q2
$70.3M Buy
1,884,651
+302,430
+19% +$11.3M 0.04% 439
2016
Q1
$56.5M Buy
1,582,221
+6,600
+0.4% +$236K 0.03% 502
2015
Q4
$54M Hold
1,575,621
0.03% 526
2015
Q3
$51M Sell
1,575,621
-517,338
-25% -$16.7M 0.03% 550
2015
Q2
$69.2M Buy
2,092,959
+401,400
+24% +$13.3M 0.03% 495
2015
Q1
$53M Buy
1,691,559
+45,800
+3% +$1.44M 0.02% 578
2014
Q4
$50.4M Buy
1,645,759
+61,500
+4% +$1.88M 0.02% 589
2014
Q3
$42.6M Hold
1,584,259
0.02% 634
2014
Q2
$44.5M Buy
1,584,259
+191,700
+14% +$5.38M 0.02% 644
2014
Q1
$45.2M Buy
1,392,559
+124,787
+10% +$4.05M 0.02% 614
2013
Q4
$40.2M Buy
1,267,772
+13,900
+1% +$440K 0.02% 620
2013
Q3
$35M Sell
1,253,872
-35,495
-3% -$991K 0.02% 650
2013
Q2
$33.5M Buy
+1,289,367
New +$33.5M 0.02% 629