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Citigroup Inc position in HAS

HASBRO INC · Consumer Discretionary

Latest position (Q2 2026)571.18K sh
Reported value held$47.17M
Portfolio Weight0.02%
First reportedQ3 2021
Last changeAdd

Quarter by quarter

QuarterSharesValueChange
Q3 2021 124.21K $11.08M New
Q4 2021 103.52K $10.54M Reduce
Q1 2022 98.78K $8.09M Reduce
Q2 2022 90.56K $7.42M Reduce
Q3 2022 202.66K $13.66M Add
Q4 2022 236.57K $14.43M Add
Q1 2023 103.72K $5.57M Reduce
Q2 2023 115.55K $7.48M Add
Q3 2023 69.54K $4.60M Reduce
Q4 2023 134.63K $6.87M Add
Q1 2024 148.09K $8.37M Add
Q2 2024 122.09K $7.14M Reduce
Q3 2024 144.44K $10.45M Add
Q4 2024 99.45K $5.56M Reduce
Q1 2025 143.44K $8.82M Add
Q2 2025 174.76K $12.90M Add
Q3 2025 693.07K $52.57M Add
Q4 2025 411.55K $33.75M Reduce
Q1 2026 430.03K $40.25M Add
Q2 2026 571.18K $47.17M Add

Dots on the line are colored by change type; missing quarters mean no position was reported.

Other funds holding HAS

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