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TCN — TRICON RESIDENTIAL INC

Reported value held$931.03M
Funds holding (latest)38
Sector—

TCN (TRICON RESIDENTIAL INC) is tracked on HoldingsHub across five years of quarterly 13F filings. 38 funds have reported positions historically, with the sum of their latest reported stakes valued at $931.03M. No fund in our coverage reported a position in the latest filing period, which typically means the stock has fallen out of the tracked funds' portfolios rather than that it cannot be bought.

All figures on this page are computed from SEC Form 13F quarterly filings. 13F filers disclose long positions of $100,000 or more within 45 days of quarter end; short positions, options overlays and intra-quarter trades are not included, so treat the numbers as a quarterly snapshot of institutional ownership rather than real-time positioning.

FundQuarterSharesValuePortfolio WeightChange
Vanguard Group history Q1 2024 11.39M $127.01M 0.00% Reduce
Fidelity International (FIL) history Q1 2024 10.58M $117.99M 0.12% New
Goldman Sachs Group history Q1 2024 9.32M $103.92M 0.02% Add
T. Rowe Price Associates history Q2 2022 10.18M $103.22M 0.01% Add
Balyasny Asset Management history Q1 2024 6.38M $71.09M 0.13% Add
Bank of America Corp history Q1 2024 5.74M $64.03M 0.01% Add
Millennium Management history Q1 2024 4.76M $53.03M 0.02% Add
Prudential Financial history Q4 2023 5.31M $48.39M 0.07% New
Janus Henderson Group history Q3 2023 6.23M $46.33M 0.03% Reduce
Wellington Management Group history Q4 2023 5.03M $45.75M 0.01% Add
Norges Bank Investment Management history Q4 2023 3.04M $27.63M 0.01% Add
UBS Group AG history Q1 2024 1.41M $15.69M 0.00% Add
Legal & General Investment Management America history Q1 2024 1.29M $14.34M 0.00% Reduce
Point72 Asset Management history Q3 2023 1.90M $14.09M 0.04% Reduce
JPMorgan Chase & Co history Q1 2024 1.18M $13.18M 0.00% Reduce
Morgan Stanley history Q1 2024 1.02M $11.33M 0.00% Add
Citigroup Inc history Q1 2024 1.02M $11.33M 0.01% Add
Marshall Wace history Q1 2024 874.01K $9.75M 0.01% New
Citadel Advisors history Q1 2024 483.77K $5.39M 0.00% Reduce
PSP Investments history Q3 2023 559.93K $4.16M 0.03% Reduce

View all 38 fund holders →

New Positions (latest)

No fund opened a new position this quarter.

Fully Exited (vs previous quarter)

No tracked fund fully exited this quarter.

Fund Position History — shares by quarter (top 20 funds)

FundQ4 2021Q1 2022Q2 2022Q3 2022Q4 2022Q1 2023Q2 2023Q3 2023Q4 2023Q1 2024
Vanguard Group 1.66M 10.50M 10.64M 10.90M 11.08M 11.30M 11.36M 11.53M 11.47M 11.39M
Fidelity International (FIL) 11.88M 8.85M 3.94M 3.68M 1.03M 603.42K 550.40K — — 10.58M
Goldman Sachs Group 436.66K 237.43K 509.15K 336.57K 225.17K 278.94K 157.11K 685.78K 504.09K 9.32M
Balyasny Asset Management — — — 33.29K 2.86M 1.84M — 2.99M 781.28K 6.38M
Bank of America Corp 502.33K 728.48K 520.98K 352.03K 263.28K 303.89K 185.35K 224.58K 728.25K 5.74M
Millennium Management 1.32M 77.17K 1.81M 1.10M 1.21M 1.55M 2.30M 880.34K 2.92M 4.76M
UBS Group AG 91.61K 8.74K 153.91K 167.68K 79.52K 73.00K 78.20K 62.77K 68.58K 1.41M
Legal & General Investment Management America 1.09M 1.19M 1.25M 1.16M 1.21M 1.30M 1.33M 1.34M 1.33M 1.29M
JPMorgan Chase & Co 925.43K 141.37K 413.53K 416.46K 404.79K 465.06K 620.84K 603.26K 1.58M 1.18M
Morgan Stanley 989.44K 1.09M 2.49M 1.41M 1.24M 1.04M 486.84K 948.46K 530.97K 1.02M
Citigroup Inc 112.37K 45.75K 43.20K 29.15K 26.80K 9.84K 479.40K 396.30K 181.67K 1.02M
Marshall Wace 11.40K — 117.51K 237.85K 117.20K — — — — 874.01K
Citadel Advisors 216.54K 447.66K 898.65K 1.02M 2.10M 465.02K 169.20K 912.02K 2.54M 483.77K
Deutsche Bank AG 5.64M 6.43M 2.64M 2.15M 224.96K 233.19K 314.22K 262.38K 285.39K 354.97K
Manulife Financial 3.41M 1.63M 1.53M 1.54M 1.59M 1.64M 1.60M 1.63M 1.89M 212.05K
Invesco Ltd 175.59K 165.43K 155.07K 168.50K 178.07K 216.04K 237.45K 202.47K 207.41K 206.57K
D. E. Shaw & Co 680.10K 749.20K 661.20K 579.40K 540.60K 671.00K 684.30K 78.50K 10.00K 194.40K
CPP Investments 10 10 37.91K 301.81K 218.31K 159.71K 159.71K 159.71K 159.71K 159.71K
Geode Capital Management 122.31K 91.56K 134.13K 124.43K 125.38K 129.13K 134.32K 139.34K 145.58K 151.64K
Amundi US 138.42K 147.46K 131.44K 137.86K 160.03K 175.03K 189.15K 189.15K 164.37K 147.20K

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