TJX COMPANIES INC /DE/ - Common Stock (TJX)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / Common Stock
Symbol
TJX on NYSE
Shares outstanding
1,119,755,865
Price per share
$153.61
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
988,064,623
Total reported value
$142,719,679,125
% of total 13F portfolios
0.13%
Share change
-20,132,840
Value change
-$2,489,135,312
Avg buy value change
+0.01%
Avg sell value change
-0.03%
Number of holders
2,413
Price from insider filings
$153.68
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of TJX COMPANIES INC /DE/ - Common Stock (TJX) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 8.9% $12,174,254,508 99,658,272 BlackRock, Inc. 31 Dec 2024
As of 30 Sep 2025, TJX COMPANIES INC /DE/ - Common Stock (TJX) has 2,413 institutional shareholders filing 13F forms. They hold 988,064,623 shares. of 1,119,755,865 outstanding shares (88%) .

Top 25 institutional shareholders own 51% of the company.

Filer Ownership Nb Shares Share Change % Portfolio % Holdings Value
VANGUARD GROUP INC 9.1% 101,961,786 +0.81% 0.22% $14,737,556,549
BlackRock, Inc. 9.1% 101,422,585 +1.4% 0.26% $14,659,620,513
STATE STREET CORP 4.3% 48,223,309 -0.77% 0.24% $6,970,197,083
FMR LLC 3% 33,503,314 -0.66% 0.25% $4,842,569,022
MORGAN STANLEY 2.4% 27,108,488 +1.3% 0.24% $3,918,261,410
GEODE CAPITAL MANAGEMENT, LLC 2.4% 26,337,414 +1% 0.24% $3,791,694,066
BANK OF AMERICA CORP /DE/ 2.2% 25,186,536 +2.3% 0.27% $3,640,461,943
WELLINGTON MANAGEMENT GROUP LLP 2.1% 24,037,493 -26% 0.61% $3,474,379,238
JPMORGAN CHASE & CO 1.7% 19,552,737 -9.8% 0.18% $2,826,157,872
Capital International Investors 1.4% 15,678,165 +4.2% 0.37% $2,266,066,275
Bank of New York Mellon Corp 1.4% 15,545,226 -11% 0.4% $2,246,907,135
NORTHERN TRUST CORP 1.2% 13,654,222 -0.82% 0.25% $1,973,581,247
AMERIPRISE FINANCIAL INC 1.2% 13,391,533 +3% 0.45% $1,939,435,288
PRICE T ROWE ASSOCIATES INC /MD/ 0.99% 11,115,141 +1.9% 0.17% $1,606,584,000
ROYAL BANK OF CANADA 0.97% 10,855,869 -12% 0.28% $1,569,108,000
PRIMECAP MANAGEMENT CO/CA/ 0.94% 10,524,552 -8.8% 1.2% $1,521,218,745
Nuveen, LLC 0.88% 9,906,602 +8.2% 0.38% $1,431,900,289
Amundi 0.87% 9,725,542 +22% 0.45% $1,391,822,315
GOLDMAN SACHS GROUP INC 0.85% 9,558,793 +26% 0.2% $1,381,627,943
UBS AM, A DISTINCT BUSINESS UNIT OF UBS ASSET MANAGEMENT AMERICAS LLC 0.74% 8,241,439 -23% 0.26% $1,191,217,593
Invesco Ltd. 0.69% 7,766,924 -14% 0.18% $1,122,631,151
UBS Group AG 0.68% 7,620,003 +3.8% 0.22% $1,101,395,233
NORDEA INVESTMENT MANAGEMENT AB 0.63% 7,058,931 -3.9% 0.89% $1,018,391,975
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 0.63% 7,011,266 +0.55% 0.16% $1,013,408,388
ALLIANCEBERNSTEIN L.P. 0.6% 6,712,226 +92% 0.31% $970,185,146

Institutional Holders of TJX COMPANIES INC /DE/ - Common Stock (TJX) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 16,145,431 $2,493,116,604 +$366,137,624 15,361% 112
2025 Q3 988,064,623 $142,719,679,125 -$2,489,135,312 14,454% 2,413
2025 Q2 1,005,677,326 $124,169,038,776 +$1,715,647,135 12,349% 2,357
2025 Q1 993,264,586 $120,930,894,508 -$2,409,517,365 12,180% 2,304
2024 Q4 1,011,125,587 $122,170,567,882 +$1,662,945,879 12,081% 2,275
2024 Q3 992,106,810 $116,496,873,581 -$3,637,911,137 11,754% 2,157
2024 Q2 1,019,503,982 $112,244,497,001 +$500,448,205 11,010% 2,064
2024 Q1 1,017,305,479 $103,016,870,119 -$1,465,942,432 10,142% 2,002
2023 Q4 12,648,801 $1,186,515,647 -$92,958,088 9,381% 23
2023 Q3 1,019,231,879 $90,593,037,774 -$604,616,382 8,888% 1,800
2023 Q2 1,002,305,838 $84,900,628,739 -$1,798,653,369 8,479% 1,754
2023 Q1 1,039,502,478 $81,413,518,423 -$753,234,892 7,836% 1,723
2022 Q4 1,054,799,254 $83,914,788,063 -$144,218,414 7,960% 1,736
2022 Q3 1,055,526,600 $65,606,321,047 +$486,480,342 6,212% 1,550
2022 Q2 1,032,671,006 $57,698,011,441 +$405,283,933 5,585.01% 1,542
2022 Q1 1,052,270,571 $63,763,376,409 -$1,033,372,029 6,058% 1,576
2021 Q4 1,075,885,436 $81,572,443,686 +$156,109,714 7,591.99% 1,702
2021 Q3 1,074,122,269 $70,874,536,744 +$613,502,401 6,597.99% 1,561
2021 Q2 1,065,175,621 $71,778,537,167 -$779,344,572 6,741.99% 1,541
2021 Q1 1,077,079,992 $71,217,899,819 -$482,201,962 6,615% 1,550
2020 Q4 1,083,002,711 $73,848,905,948 +$533,094,184 6,829% 1,553
2020 Q3 1,079,126,211 $59,980,289,571 -$310,889,861 5,565% 1,420
2020 Q2 978,815,526 $49,483,741,131 -$319,952,692 5,056% 1,429
2020 Q1 1,028,148,537 $49,139,758,409 +$309,057,962 4,780.99% 1,382
2019 Q4 1,074,816,214 $65,597,155,332 -$539,528,296 6,106% 1,474
2019 Q3 1,082,428,137 $60,305,140,093 -$402,331,788 5,573.99% 1,341
2019 Q2 1,092,943,883 $57,730,014,578 +$1,088,491,755 5,288% 1,319
2019 Q1 1,094,136,278 $58,173,286,148 -$608,953,520 5,321% 1,333
2018 Q4 1,108,330,549 $49,495,509,147 +$24,285,637,497 4,474% 1,284
2018 Q3 547,746,663 $61,289,940,631 -$819,198,185 11,201.96% 1,235
2018 Q2 563,704,219 $53,603,601,191 -$342,416,794 9,518% 1,174
2018 Q1 573,334,522 $46,718,819,328 -$637,881,503 8,156% 1,162
2017 Q4 575,842,034 $44,001,709,401 -$130,199,395 7,645.99% 1,148
2017 Q3 577,492,743 $42,582,647,868 +$459,343,294 7,373% 1,092
2017 Q2 571,598,030 $41,258,752,100 -$576,010,218 7,216.97% 1,072
2017 Q1 576,833,519 $45,621,602,184 +$2,965,917,309 7,908% 1,092
2016 Q4 577,335,164 $43,375,133,912 -$398,582,422 7,513% 1,084
2016 Q3 577,396,372 $43,150,383,291 -$815,316,641 7,477.99% 1,053
2016 Q2 586,754,172 $45,315,175,485 -$113,118,635 7,722.98% 1,054
2016 Q1 588,117,586 $46,056,615,863 -$686,543,183 7,834.99% 1,011
2015 Q4 598,698,210 $42,474,421,774 -$290,769,720 7,091% 1,007
2015 Q3 599,447,962 $42,794,756,528 +$63,400,871 7,142% 953
2015 Q2 587,779,927 $38,894,224,917 -$377,626,563 6,617% 905
2015 Q1 602,652,535 $42,214,586,553 -$343,913,189 7,004.99% 910
2014 Q4 613,099,982 $42,045,109,526 -$566,898,441 6,857.99% 931
2014 Q3 611,057,653 $36,164,173,171 -$675,565,224 5,917% 850
2014 Q2 623,362,054 $33,130,304,489 -$423,119,153 5,315% 851
2014 Q1 631,495,386 $38,290,944,429 -$683,056,172 6,065% 862