Prelude Capital Management’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
$233K Buy
+4,164
New +$233K 0.02% 734
2025
Q1
Sell
-3,646
Closed -$209K 1404
2024
Q4
$209K Sell
3,646
-10,011
-73% -$575K 0.01% 846
2024
Q3
$813K Buy
+13,657
New +$813K 0.05% 387
2022
Q2
Sell
-2,570
Closed -$230K 1828
2022
Q1
$230K Sell
2,570
-5,707
-69% -$511K 0.01% 938
2021
Q4
$721K Sell
8,277
-517
-6% -$45K 0.02% 609
2021
Q3
$694K Sell
8,794
-10,244
-54% -$808K 0.02% 535
2021
Q2
$1.4M Buy
19,038
+12,862
+208% +$949K 0.04% 337
2021
Q1
$459K Sell
6,176
-2,902
-32% -$216K 0.01% 627
2020
Q4
$585K Sell
9,078
-2,895
-24% -$187K 0.01% 332
2020
Q3
$712K Buy
+11,973
New +$712K 0.03% 216
2020
Q2
Hold
0
1699
2020
Q1
Hold
0
1554
2019
Q4
Hold
0
1767
2019
Q3
Sell
-3,896
Closed -$315K 1576
2019
Q2
$315K Buy
3,896
+2,997
+333% +$242K 0.02% 358
2019
Q1
$62K Sell
899
-482
-35% -$33.2K ﹤0.01% 743
2018
Q4
$74K Sell
1,381
-13,923
-91% -$746K 0.01% 743
2018
Q3
$911K Buy
15,304
+759
+5% +$45.2K 0.05% 248
2018
Q2
$1M Buy
14,545
+5,045
+53% +$347K 0.06% 241
2018
Q1
$695K Buy
9,500
+1,318
+16% +$96.4K 0.05% 317
2017
Q4
$663K Sell
8,182
-2,157
-21% -$175K 0.05% 300
2017
Q3
$728K Sell
10,339
-1,761
-15% -$124K 0.07% 261
2017
Q2
$758K Buy
12,100
+6,820
+129% +$427K 0.07% 227
2017
Q1
$326K Buy
5,280
+620
+13% +$38.3K 0.03% 376
2016
Q4
$287K Buy
4,660
+1,173
+34% +$72.2K 0.03% 417
2016
Q3
$260K Sell
3,487
-175
-5% -$13K 0.03% 434
2016
Q2
$245K Sell
3,662
-5,031
-58% -$337K 0.03% 402
2016
Q1
$579K Buy
8,693
+90
+1% +$5.99K 0.08% 249
2015
Q4
$459K Buy
+8,603
New +$459K 0.07% 258
2015
Q2
Sell
-20,200
Closed -$774K 1949
2015
Q1
$774K Buy
20,200
+18,675
+1,225% +$716K 0.11% 227
2014
Q4
$61K Sell
1,525
-2,410
-61% -$96.4K 0.01% 1102
2014
Q3
$155K Sell
3,935
-4,575
-54% -$180K 0.02% 751
2014
Q2
$319K Sell
8,510
-1,345
-14% -$50.4K 0.04% 471
2014
Q1
$434K Sell
9,855
-2,870
-23% -$126K 0.06% 403
2013
Q4
$426K Buy
12,725
+5,518
+77% +$185K 0.07% 360
2013
Q3
$204K Buy
7,207
+2,307
+47% +$65.3K 0.03% 468
2013
Q2
$126K Buy
+4,900
New +$126K 0.03% 504