Taylor Morrison Home Corp - Common Stock (TMHC)

Historical Holders from Q1 2014 to Q1 2025

Symbol
TMHC on NYSE
CUSIP
87724P106
Type / Class
Equity / Common Stock
Shares outstanding
102M
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
98.2M
Holdings value
$6.01B
% of all portfolios
0.008%
Grand Portfolio weight change
0%
Number of holders
448
Number of buys
227
Number of sells
-189
Average Value change %
-0.01%
Average buys %
+0.001%
Average sells %
-0.01%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Taylor Morrison Home Corp - Common Stock (TMHC)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
DIMENSIONAL FUND ADVISORS LP 6.6% $405M 6.74M Dimensional Fund Advisors LP Mar 31, 2025

Institutional Holders of Taylor Morrison Home Corp - Common Stock (TMHC)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 1.8M $108M -$19.8M $60.04 41
2024 Q4 98.2M $6.01B -$27.2M $61.21 448
2024 Q3 98.2M $6.9B -$133M $70.26 414
2024 Q2 100M $5.56B -$68.6M $55.44 378
2024 Q1 101M $6.29B +$48.9M $62.17 365
2023 Q4 99.7M $5.32B -$79M $53.35 358
2023 Q3 103M $4.39B -$72.6M $42.61 335
2023 Q2 104M $5.07B +$30.8M $48.77 358
2023 Q1 104M $3.97B -$18.3M $38.26 320
2022 Q4 105M $3.19B +$9.04M $30.35 293
2022 Q3 99.2M $2.31B -$60.1M $23.32 265
2022 Q2 107M $2.49B -$103M $23.36 262
2022 Q1 112M $3.05B -$47.4M $27.22 259
2021 Q4 114M $3.99B -$51.8M $34.96 266
2021 Q3 115M $2.96B +$57M $25.78 247
2021 Q2 114M $3B -$75M $26.42 259
2021 Q1 117M $3.6B -$89.8M $30.81 258
2020 Q4 121M $3.1B +$35.5M $25.65 258
2020 Q3 121M $2.98B -$138M $24.59 256
2020 Q2 125M $2.4B +$10.4M $19.29 230
2020 Q1 129M $1.41B +$108M $11.00 227
2019 Q4 110M $2.4B +$76.4M $21.86 222
2019 Q3 106M $2.74B +$6.5M $25.94 215
2019 Q2 106M $2.21B -$25M $20.96 175
2019 Q1 111M $1.97B -$42.9M $17.75 157
2018 Q4 114M $1.81B -$938K $15.90 156
2018 Q3 114M $2.05B -$1.52M $18.04 151
2018 Q2 112M $2.33B +$35.9M $20.78 173
2018 Q1 113M $2.63B +$743M $23.28 192
2017 Q4 81.5M $1.99B +$248M $24.47 178
2017 Q3 71.1M $1.56B +$13.5M $22.05 162
2017 Q2 71M $1.7B +$512M $24.01 192
2017 Q1 49.8M $1.06B +$505M $21.32 149
2016 Q4 29.1M $560M -$5.33M $19.26 114
2016 Q3 29.3M $515M -$6.07M $17.60 107
2016 Q2 29.7M $441M -$13.8M $14.84 97
2016 Q1 30.5M $431M -$30.1M $14.12 106
2015 Q4 32.7M $524M -$45.2M $16.00 105
2015 Q3 35.3M $658M +$30.2M $18.66 106
2015 Q2 33.2M $677M -$6.53M $20.36 95
2015 Q1 33.7M $703M +$15.2M $20.85 97
2014 Q4 33.2M $628M +$1.81M $18.89 104
2014 Q3 33.3M $540M -$14.7M $16.22 94
2014 Q2 33.9M $759M +$2.71M $22.42 100
2014 Q1 31.6M $743M +$4.65M $23.50 108