TransUnion - COM (TRU)

Historical Portfolio Holders from Q2 2015 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
188 M
Holdings value Q1 2024
$15 B
Value change Q1 2024
+$67.4 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
410
Number of buys Q1 2024
202
Number of sells Q1 2024
-204
Average buys Q1 2024 %
+0.006%
Average sells Q1 2024 %
-0.004%
CUSIP
89400J107
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 188 M $15 B +$67.4 M $79.80 410
2023 Q4 188 M $12.9 B -$255 M $68.71 400
2023 Q3 189 M $13.6 B -$302 M $71.79 411
2023 Q2 194 M $15.1 B +$617 M $78.33 407
2023 Q1 185 M $11.5 B +$119 M $62.14 377
2022 Q4 187 M $10.6 B +$125 M $56.75 376
2022 Q3 181 M $10.8 B -$1.67 B $59.49 389
2022 Q2 188 M $15 B +$111 M $79.99 405
2022 Q1 187 M $19.3 B -$46.9 M $103.34 440
2021 Q4 185 M $21.8 B +$99.6 M $118.58 451
2021 Q3 187 M $20.9 B +$132 M $112.31 436
2021 Q2 186 M $20.4 B +$391 M $109.81 430
2021 Q1 185 M $16.6 B -$111 M $90.00 416
2020 Q4 187 M $18.5 B +$229 M $99.22 441
2020 Q3 184 M $15.5 B -$160 M $84.13 426
2020 Q2 186 M $16.2 B +$118 M $87.04 427
2020 Q1 185 M $12.2 B -$114 M $66.18 398
2019 Q4 186 M $15.9 B +$25.3 M $85.61 400
2019 Q3 186 M $15.1 B -$264 M $81.11 368
2019 Q2 190 M $14 B +$127 M $73.51 339
2019 Q1 192 M $12.8 B +$239 M $66.84 331
2018 Q4 189 M $10.7 B +$212 M $56.80 320
2018 Q3 185 M $13.6 B +$120 M $73.58 358
2018 Q2 183 M $13.1 B +$201 M $71.64 330
2018 Q1 184 M $10.4 B +$34.5 M $56.78 311
2017 Q4 185 M $10.2 B -$120 M $54.96 295
2017 Q3 188 M $8.86 B +$250 M $47.26 226
2017 Q2 182 M $7.9 B +$7.41 M $43.31 205
2017 Q1 182 M $6.98 B +$183 M $38.35 188
2016 Q4 181 M $5.59 B -$40.2 M $30.93 167
2016 Q3 180 M $6.21 B -$22.8 M $34.50 166
2016 Q2 180 M $6.04 B +$66.3 M $33.44 142
2016 Q1 179 M $4.94 B -$21.7 M $27.61 126
2015 Q4 180 M $4.96 B +$50.2 M $27.57 93
2015 Q3 178 M $4.48 B +$59.7 M $25.12 82
2015 Q2 176 M $4.41 B +$2.6 B $25.10 87