Thomson Reuters Corporation - Common Shares of Thomson Reuters Corporation (TRI)

Historical Holders from Q1 2016 to Q1 2025

Symbol
TRI on NYSE
CUSIP
884903709
Type / Class
Equity / Common Shares of Thomson Reuters Corporation
Shares outstanding
450M
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
65.6K
Holdings value
$10.5M
% of all portfolios
0%
Grand Portfolio weight change
+0%
Number of holders
2
Number of buys
2
Average Value change %
+0%
Average buys %
+0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Thomson Reuters Corporation - Common Shares of Thomson Reuters Corporation (TRI)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
Woodbridge CO LTD 69.6% -0.14% $7.53M 314M +0.01% THOMSON INVESTMENTS LIMITED Apr 16, 2025

Institutional Holders of Thomson Reuters Corporation - Common Shares of Thomson Reuters Corporation (TRI)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 57.4K $9.91M -$776K $172.53 1
2024 Q4 65.6K $10.5M +$165K $160.44 2
2024 Q3 64.6K $11M -$773K $170.77 2
2024 Q2 69.1K $11.6M -$305K $168.54 2
2024 Q1 70.9K $11M -$1.84M $155.78 2
2023 Q4 82.7K $12.1M -$9.69M $146.93 2
2023 Q3 162K $19.9M +$2.34M $122.91 3
2023 Q2 151K $20.3M -$11.2B $134.94 14
2023 Q1 86.5M $11.3B -$672M $130.12 384
2022 Q4 91.8M $10.5B -$691M $114.07 369
2022 Q3 100M $10.3B -$427M $102.62 362
2022 Q2 102M $10.6B +$472M $104.21 370
2022 Q1 82.5M $8.97B +$51.1M $108.82 362
2021 Q4 98.1M $11.7B -$651M $119.62 376
2021 Q3 105M $11.8B -$450M $110.48 372
2021 Q2 92.8M $9.4B +$202M $99.32 355
2021 Q1 107M $9.54B +$667M $87.57 350
2020 Q4 85.8M $7.02B -$315M $81.88 323
2020 Q3 91.9M $7.33B +$75.5M $79.77 294
2020 Q2 98.8M $6.7B +$185M $67.96 301
2020 Q1 96.4M $6.52B -$9.02M $67.85 289
2019 Q4 96.3M $6.89B +$192M $71.60 294
2019 Q3 95.9M $6.42B -$81.4M $66.88 284
2019 Q2 96.8M $6.24B -$196M $64.46 289
2019 Q1 85.5M $5.06B -$236M $59.19 286
2018 Q4 107M $5.17B +$5.08B $48.31 274
2016 Q1 355 $21K $0 $59.15 1