MORGAN STANLEY

SEC CIK
0000895421

HD holding history

HOME DEPOT, INC.

Every 13F filing in which MORGAN STANLEY reported holding HD, plus the quarters it sold out. Changes compare share counts with the previous calendar quarter.

HD overviewAll 13F holders of HDFull portfolio

MORGAN STANLEY: HD holding by quarter
QuarterSharesValue% of portfolioChange in sharesAction
Q2 202622,603,319$7.97B0.42%+233,985+1.0%Added
Q1 202622,369,334$7.36B0.44%+255,580+1.2%Added
Q4 202522,113,754$7.61B0.45%−376,164−1.7%Reduced
Q3 202522,489,918$9.11B0.55%−84,029−0.4%Reduced
Q2 202522,573,947$8.28B0.54%+650,321+3.0%Added
Q1 202521,923,626$8.03B0.57%−49,783−0.2%Reduced
Q4 202421,973,409$8.55B0.60%+381,996+1.8%Added
Q3 202421,591,413$8.75B0.63%+1,366,416+6.8%Added
Q2 202420,224,997$6.96B0.54%−39,302,929−66.0%Reduced
Q1 202459,527,926$22.83B0.61%+21,031,556+54.6%Added
Q4 202338,496,370$13.34B0.59%+20,115,553+109.4%Added
Q3 202318,380,817$5.55B0.56%−57,521−0.3%Reduced
Q2 202318,438,338$5.73B0.56%+837,875+4.8%Added
Q1 202317,600,463$5.19B0.56%−1,137,027−6.1%Reduced
Q4 202218,737,490$5.92B0.67%+1,698,402+10.0%Added
Q3 202217,039,088$4.7B0.64%+496,992+3.0%Added
Q2 202216,542,096$4.54B0.59%+4,463,567+37.0%Added
Q1 202212,078,529$3.62B0.49%−768,468−6.0%Reduced
Q4 202112,846,997$5.33B0.66%+908,094+7.6%Added
Q3 202111,938,903$3.92B0.53%+433,190+3.8%Added
Q2 202111,505,713$3.67B0.48%+162,299+1.4%Added
Q1 202111,343,414$3.46B0.51%+11,343,414New