Mirae Asset Global Investments’s Tyson Foods TSN Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$1.95M Buy
34,908
+3,128
+10% +$175K 0.01% 706
2025
Q1
$1.98M Buy
31,780
+4,510
+17% +$281K 0.01% 671
2024
Q4
$1.58M Buy
27,270
+7,908
+41% +$458K 0.01% 718
2024
Q3
$1.16M Buy
19,362
+4,280
+28% +$255K 0.01% 779
2024
Q2
$851K Sell
15,082
-42,707
-74% -$2.41M ﹤0.01% 804
2024
Q1
$3.36M Sell
57,789
-52,104
-47% -$3.03M 0.01% 1000
2023
Q4
$5.91M Buy
109,893
+25,606
+30% +$1.38M 0.01% 834
2023
Q3
$4.26M Buy
84,287
+4,514
+6% +$228K 0.01% 904
2023
Q2
$4.07M Buy
79,773
+23,981
+43% +$1.22M 0.01% 950
2023
Q1
$3.31M Sell
55,792
-9,114
-14% -$541K 0.01% 984
2022
Q4
$4.04M Buy
64,906
+1,444
+2% +$89.9K 0.01% 886
2022
Q3
$4.18M Buy
63,462
+8,057
+15% +$531K 0.01% 869
2022
Q2
$4.77M Buy
55,405
+11,752
+27% +$1.01M 0.01% 855
2022
Q1
$3.91M Buy
43,653
+10,766
+33% +$965K 0.01% 950
2021
Q4
$2.87M Sell
32,887
-583
-2% -$50.8K 0.01% 1035
2021
Q3
$2.64M Buy
33,470
+8,159
+32% +$644K 0.01% 1037
2021
Q2
$1.87M Sell
25,311
-2,329
-8% -$172K 0.01% 1085
2021
Q1
$2.05M Sell
27,640
-1,770
-6% -$132K 0.01% 948
2020
Q4
$1.89M Buy
29,410
+1,992
+7% +$128K 0.01% 948
2020
Q3
$1.63M Sell
27,418
-1,973
-7% -$117K 0.01% 831
2020
Q2
$1.76M Sell
29,391
-16,692
-36% -$997K 0.01% 737
2020
Q1
$2.67M Sell
46,083
-3,045
-6% -$176K 0.02% 571
2019
Q4
$4.47M Buy
49,128
+2,821
+6% +$257K 0.03% 548
2019
Q3
$3.99M Buy
46,307
+12,968
+39% +$1.12M 0.03% 520
2019
Q2
$2.68M Sell
33,339
-4,019
-11% -$323K 0.02% 623
2019
Q1
$2.59M Sell
37,358
-10,175
-21% -$704K 0.02% 580
2018
Q4
$2.54M Sell
47,533
-41,358
-47% -$2.21M 0.02% 543
2018
Q3
$5.3M Buy
88,891
+15,502
+21% +$923K 0.04% 396
2018
Q2
$5.06M Buy
73,389
+4,707
+7% +$324K 0.07% 178
2018
Q1
$5.03M Buy
68,682
+56,818
+479% +$4.16M 0.07% 185
2017
Q4
$962K Buy
11,864
+2,631
+28% +$213K 0.01% 485
2017
Q3
$610K Buy
9,233
+2,114
+30% +$140K 0.01% 505
2017
Q2
$438K Buy
7,119
+1,917
+37% +$118K 0.01% 524
2017
Q1
$322K Buy
+5,202
New +$322K 0.01% 540