Veritable’s Tyson Foods TSN Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2023
Q3
Sell
-8,413
Closed -$429K 736
2023
Q2
$429K Sell
8,413
-97
-1% -$5.28K 0.01% 587
2023
Q1
$505K Sell
8,510
-1,047
-11% -$64.3K 0.01% 532
2022
Q4
$595K Buy
9,557
+1,215
+15% +$79K 0.01% 476
2022
Q3
$550K Sell
8,342
-122
-1% -$9.65K 0.01% 474
2022
Q2
$728K Sell
8,464
-94
-1% -$8.42K 0.01% 449
2022
Q1
$767K Buy
8,558
+700
+9% +$63.8K 0.01% 451
2021
Q4
$685K Sell
7,858
-11
-0.1% -$905 0.01% 481
2021
Q3
$621K Buy
7,869
+2,483
+46% +$187K 0.01% 491
2021
Q2
$397K Buy
5,386
+50
+0.9% +$3.88K 0.01% 602
2021
Q1
$396K Buy
5,336
+19
+0.4% +$1.31K 0.01% 568
2020
Q4
$343K Sell
5,317
-1,357
-20% -$84.4K 0.01% 590
2020
Q3
$397K Sell
6,674
-940
-12% -$57.9K 0.01% 511
2020
Q2
$455K Buy
7,614
+124
+2% +$7.52K 0.01% 489
2020
Q1
$433K Sell
7,490
-290
-4% -$21.7K 0.01% 478
2019
Q4
$708K Buy
7,780
+201
+3% +$17.3K 0.01% 445
2019
Q3
$653K Sell
7,579
-286
-4% -$24.3K 0.01% 444
2019
Q2
$635K Sell
7,865
-402
-5% -$31K 0.01% 451
2019
Q1
$574K Buy
8,267
+542
+7% +$33.6K 0.01% 467
2018
Q4
$413K Sell
7,725
-1,689
-18% -$99.3K 0.01% 509
2018
Q3
$560K Buy
9,414
+1,140
+14% +$71.3K 0.01% 470
2018
Q2
$570K Buy
8,274
+106
+1% +$7.37K 0.01% 471
2018
Q1
$598K Buy
8,168
+880
+12% +$67.2K 0.01% 449
2017
Q4
$591K Sell
7,288
-1,443
-17% -$110K 0.01% 471
2017
Q3
$615K Buy
8,731
+438
+5% +$28K 0.01% 460
2017
Q2
$519K Buy
8,293
+3,898
+89% +$239K 0.01% 503
2017
Q1
$271K Buy
4,395
+6
+0.1% +$378 0.01% 634
2016
Q4
$271K Sell
4,389
-670
-13% -$44K 0.01% 621
2016
Q3
$378K Buy
5,059
+846
+20% +$62K 0.01% 531
2016
Q2
$281K Buy
4,213
+688
+20% +$44.6K 0.01% 582
2016
Q1
$235K Buy
+3,525
New +$212K 0.01% 625

Other funds holding TSN