Container Store Group, Inc. - Common Stock, par value $0.01 per share (TCS)

Historical Holders from Q1 2014 to Q3 2025

Type / Class
Equity / Common Stock, par value $0.01 per share
Symbol
TCS on NYSE
Price per share
$1.00
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
1
Total reported value
$1
Share change
0
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of Container Store Group, Inc. - Common Stock, par value $0.01 per share (TCS) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 1 $1 $1.00 1
2025 Q2 1 $1 $1.00 1
2025 Q1 1 $1 $1.00 1
2024 Q4 1 $1 -$559,806 $1.00 1
2024 Q3 145,059 $559,808 -$25,232,488 $6.22 6
2024 Q2 30,986,336 $16,733,395 -$1,203,524 $0.54 62
2024 Q1 32,517,783 $37,070,779 -$6,279,295 $1.14 66
2023 Q4 34,572,249 $78,825,769 +$1,097,599 $2.28 74
2023 Q3 34,729,357 $78,087,384 -$2,991,962 $2.25 73
2023 Q2 35,726,268 $112,184,670 -$17,446,160 $3.14 95
2023 Q1 41,049,366 $140,739,152 -$4,456,604 $3.43 106
2022 Q4 41,708,222 $179,753,878 -$3,453,847 $4.31 134
2022 Q3 40,754,783 $199,691,799 -$5,332,481 $4.90 115
2022 Q2 42,053,352 $262,044,435 -$6,713,503 $6.23 125
2022 Q1 41,396,177 $338,168,420 -$11,597,855 $8.17 120
2021 Q4 41,903,057 $416,539,610 -$14,204,248 $9.98 128
2021 Q3 42,827,714 $408,370,817 -$3,915,145 $9.52 120
2021 Q2 43,003,050 $560,756,226 +$10,076,414 $13.04 128
2021 Q1 41,868,694 $696,508,655 -$29,361,775 $16.64 128
2020 Q4 43,574,028 $415,695,921 +$8,839,819 $9.54 113
2020 Q3 42,797,352 $265,779,591 +$4,395,343 $6.21 84
2020 Q2 37,752,301 $122,314,587 -$4,503,545 $3.24 58
2020 Q1 43,752,300 $103,253,635 -$2,112,553 $2.36 62
2019 Q4 43,617,818 $184,064,813 +$12,298,389 $4.22 80
2019 Q3 40,633,926 $179,592,676 -$4,912,854 $4.42 96
2019 Q2 41,198,692 $301,553,712 +$18,150,863 $7.32 100
2019 Q1 38,910,717 $342,414,486 +$1,511,920 $8.80 92
2018 Q4 39,092,910 $186,466,227 -$4,790,691 $4.77 80
2018 Q3 38,762,797 $430,249,377 +$20,586,785 $11.10 93
2018 Q2 37,102,156 $312,034,137 -$551,504 $8.41 81
2018 Q1 37,291,537 $202,866,643 -$3,025,667 $5.44 81
2017 Q4 38,049,568 $180,356,512 +$2,962,007 $4.74 79
2017 Q3 37,387,821 $157,403,641 -$4,530,422 $4.21 75
2017 Q2 38,112,919 $225,631,611 +$5,536,838 $5.92 81
2017 Q1 37,296,109 $157,758,261 -$1,952,229 $4.23 72
2016 Q4 37,889,610 $240,595,065 -$4,391,999 $6.35 97
2016 Q3 38,584,193 $193,600,129 -$63,876 $5.02 73
2016 Q2 38,349,423 $205,144,992 -$68,498 $5.35 86
2016 Q1 38,397,626 $225,501,000 +$3,734,881 $5.87 71
2015 Q4 39,183,448 $321,325,014 -$11,085,085 $8.20 84
2015 Q3 39,754,388 $559,838,082 +$3,050,705 $14.08 73
2015 Q2 39,671,715 $670,077,719 -$10,056,194 $16.87 77
2015 Q1 40,326,723 $767,534,898 +$43,790,422 $19.05 82
2014 Q4 38,027,267 $730,293,022 -$22,591,529 $19.13 83
2014 Q3 39,077,690 $850,036,072 -$70,749,458 $21.77 81
2014 Q2 41,965,677 $1,166,279,026 -$9,427,690 $27.78 93
2014 Q1 41,054,858 $1,393,731,139 -$28,518,838 $33.95 103