TCM
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TimesSquare Capital Management’s WillScot Mobile Mini Holdings WSC Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$22.3M Sell
815,661
-53,369
-6% -$1.46M 0.32% 108
2025
Q1
$24.2M Buy
869,030
+41,085
+5% +$1.14M 0.39% 93
2024
Q4
$27.7M Sell
827,945
-89,486
-10% -$2.99M 0.4% 100
2024
Q3
$34.5M Sell
917,431
-101,273
-10% -$3.81M 0.52% 81
2024
Q2
$38.3M Buy
1,018,704
+286,221
+39% +$10.8M 0.6% 64
2024
Q1
$34.1M Buy
732,483
+191,533
+35% +$8.91M 0.5% 81
2023
Q4
$24.1M Sell
540,950
-331,790
-38% -$14.8M 0.35% 103
2023
Q3
$36.3M Buy
872,740
+252,140
+41% +$10.5M 0.57% 83
2023
Q2
$29.7M Buy
620,600
+241,425
+64% +$11.5M 0.43% 99
2023
Q1
$17.8M Sell
379,175
-110,125
-23% -$5.16M 0.26% 130
2022
Q4
$22.1M Sell
489,300
-75,310
-13% -$3.4M 0.31% 125
2022
Q3
$22.8M Sell
564,610
-124,320
-18% -$5.01M 0.32% 131
2022
Q2
$22.3M Sell
688,930
-209,070
-23% -$6.78M 0.31% 128
2022
Q1
$35.1M Sell
898,000
-54,840
-6% -$2.15M 0.39% 109
2021
Q4
$38.9M Sell
952,840
-432,000
-31% -$17.6M 0.34% 124
2021
Q3
$43.9M Sell
1,384,840
-206,090
-13% -$6.54M 0.38% 112
2021
Q2
$44.3M Sell
1,590,930
-213,570
-12% -$5.95M 0.36% 122
2021
Q1
$50.1M Sell
1,804,500
-270,800
-13% -$7.51M 0.43% 103
2020
Q4
$48.1M Sell
2,075,300
-899,885
-30% -$20.9M 0.39% 112
2020
Q3
$49.6M Sell
2,975,185
-6,225
-0.2% -$104K 0.46% 92
2020
Q2
$36.6M Buy
2,981,410
+1,071,410
+56% +$13.2M 0.35% 131
2020
Q1
$19.3M Sell
1,910,000
-57,700
-3% -$584K 0.23% 155
2019
Q4
$36.4M Sell
1,967,700
-382,720
-16% -$7.08M 0.32% 136
2019
Q3
$36.6M Buy
2,350,420
+137,120
+6% +$2.14M 0.32% 127
2019
Q2
$33.3M Sell
2,213,300
-100,600
-4% -$1.51M 0.26% 142
2019
Q1
$25.7M Buy
2,313,900
+27,800
+1% +$308K 0.2% 161
2018
Q4
$21.5M Buy
2,286,100
+1,012,270
+79% +$9.54M 0.19% 167
2018
Q3
$21.8M Sell
1,273,830
-565,970
-31% -$9.71M 0.14% 191
2018
Q2
$27.2M Sell
1,839,800
-397,680
-18% -$5.89M 0.18% 180
2018
Q1
$30.5M Sell
2,237,480
-75,500
-3% -$1.03M 0.21% 163
2017
Q4
$29.4M Buy
2,312,980
+322,480
+16% +$4.1M 0.19% 171
2017
Q3
$20.1M Buy
+1,990,500
New +$20.1M 0.13% 207