Millennium Management
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Millennium Management’s Tyson Foods TSN Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$29.4M Sell
526,281
-126,594
-19% -$7.08M 0.01% 869
2025
Q1
$41.7M Sell
652,875
-549,009
-46% -$35M 0.02% 614
2024
Q4
$69M Buy
1,201,884
+775,956
+182% +$44.6M 0.03% 412
2024
Q3
$25.4M Buy
425,928
+89,894
+27% +$5.35M 0.01% 943
2024
Q2
$19.2M Sell
336,034
-2,186,262
-87% -$125M 0.01% 1094
2024
Q1
$148M Sell
2,522,296
-1,276,447
-34% -$75M 0.06% 159
2023
Q4
$204M Buy
3,798,743
+2,660,449
+234% +$143M 0.09% 80
2023
Q3
$57.5M Sell
1,138,294
-1,035,358
-48% -$52.3M 0.03% 386
2023
Q2
$111M Buy
2,173,652
+1,418,335
+188% +$72.4M 0.05% 188
2023
Q1
$44.8M Sell
755,317
-2,067,615
-73% -$123M 0.03% 531
2022
Q4
$176M Buy
2,822,932
+1,635,731
+138% +$102M 0.1% 75
2022
Q3
$78.3M Buy
1,187,201
+1,048,501
+756% +$69.1M 0.05% 270
2022
Q2
$11.9M Sell
138,700
-685,235
-83% -$59M 0.01% 1333
2022
Q1
$73.8M Buy
823,935
+199,096
+32% +$17.8M 0.04% 264
2021
Q4
$54.5M Sell
624,839
-485,570
-44% -$42.3M 0.03% 394
2021
Q3
$87.7M Buy
1,110,409
+764,105
+221% +$60.3M 0.05% 177
2021
Q2
$25.5M Buy
346,304
+305,782
+755% +$22.6M 0.02% 676
2021
Q1
$3.01M Sell
40,522
-597,016
-94% -$44.4M ﹤0.01% 2517
2020
Q4
$41.1M Buy
637,538
+140,927
+28% +$9.08M 0.03% 386
2020
Q3
$29.5K Buy
496,611
+239,452
+93% +$14.2K 0.04% 383
2020
Q2
$15.4M Sell
257,159
-369,378
-59% -$22.1M 0.02% 704
2020
Q1
$36.3M Sell
626,537
-1,199,747
-66% -$69.4M 0.08% 139
2019
Q4
$166M Buy
1,826,284
+973,602
+114% +$88.6M 0.21% 35
2019
Q3
$73.5M Buy
852,682
+198,999
+30% +$17.1M 0.12% 135
2019
Q2
$52.8M Sell
653,683
-1,289,574
-66% -$104M 0.08% 270
2019
Q1
$135M Sell
1,943,257
-1,199,812
-38% -$83.3M 0.2% 64
2018
Q4
$168M Buy
3,143,069
+1,004,914
+47% +$53.7M 0.26% 57
2018
Q3
$127M Buy
2,138,155
+1,547,118
+262% +$92.1M 0.16% 118
2018
Q2
$40.7M Sell
591,037
-477,549
-45% -$32.9M 0.05% 477
2018
Q1
$78.2M Sell
1,068,586
-9,001
-0.8% -$659K 0.1% 248
2017
Q4
$87.4M Sell
1,077,587
-255,553
-19% -$20.7M 0.12% 184
2017
Q3
$93.9M Buy
1,333,140
+787,204
+144% +$55.5M 0.14% 134
2017
Q2
$34.2M Sell
545,936
-674,794
-55% -$42.3M 0.06% 430
2017
Q1
$75.3M Buy
1,220,730
+689,863
+130% +$42.6M 0.14% 188
2016
Q4
$32.7M Buy
530,867
+237,903
+81% +$14.7M 0.07% 402
2016
Q3
$21.9M Buy
292,964
+266,128
+992% +$19.9M 0.04% 520
2016
Q2
$1.79M Sell
26,836
-204,500
-88% -$13.7M ﹤0.01% 1671
2016
Q1
$15.4M Sell
231,336
-1,082,237
-82% -$72.1M 0.04% 579
2015
Q4
$70.1M Buy
1,313,573
+1,151,105
+709% +$61.4M 0.15% 131
2015
Q3
$7M Sell
162,468
-1,184,726
-88% -$51.1M 0.01% 1075
2015
Q2
$57.4M Sell
1,347,194
-2,582,888
-66% -$110M 0.11% 216
2015
Q1
$151M Buy
3,930,082
+343,297
+10% +$13.1M 0.28% 48
2014
Q4
$144M Buy
3,586,785
+550,695
+18% +$22.1M 0.3% 30
2014
Q3
$120M Buy
3,036,090
+2,186,268
+257% +$86.1M 0.3% 34
2014
Q2
$31.9M Buy
+849,822
New +$31.9M 0.09% 260
2014
Q1
Sell
-448,603
Closed -$15M 2916
2013
Q4
$15M Sell
448,603
-146,974
-25% -$4.92M 0.05% 423
2013
Q3
$16.8M Sell
595,577
-500,921
-46% -$14.2M 0.05% 388
2013
Q2
$28.2M Buy
+1,096,498
New +$28.2M 0.09% 187