MORGAN STANLEY

SEC CIK
0000895421

TSM holding history

TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD

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

TSM overviewAll 13F holders of TSMFull portfolio

MORGAN STANLEY: TSM holding by quarter
QuarterSharesValue% of portfolioChange in sharesAction
Q2 202615,847,816$7.57B0.40%+1,080,136+7.3%Added
Q1 202614,767,680$4.99B0.30%+1,254,309+9.3%Added
Q4 202513,513,371$4.11B0.25%−1,578,161−10.5%Reduced
Q3 202515,091,532$4.21B0.26%+1,347,435+9.8%Added
Q2 202513,744,097$3.11B0.20%−5,289,655−27.8%Reduced
Q1 202519,033,752$3.16B0.23%+675,637+3.7%Added
Q4 202418,358,115$3.63B0.25%+533,334+3.0%Added
Q3 202417,824,781$3.1B0.22%+1,495,670+9.2%Added
Q2 202416,329,111$2.84B0.22%−28,417,326−63.5%Reduced
Q1 202444,746,437$6.09B0.16%+3,081,211+7.4%Added
Q4 202341,665,226$4.33B0.19%+17,861,046+75.0%Added
Q3 202323,804,180$2.07B0.21%+2,400,882+11.2%Added
Q2 202321,403,298$2.16B0.21%−3,238,278−13.1%Reduced
Q1 202324,641,576$2.29B0.25%−7,871,991−24.2%Reduced
Q4 202232,513,567$2.42B0.28%+7,045,899+27.7%Added
Q3 202225,467,668$1.75B0.24%−2,114,866−7.7%Reduced
Q2 202227,582,534$2.25B0.29%+3,072,788+12.5%Added
Q1 202224,509,746$2.56B0.34%+11,491,406+88.3%Added
Q4 202113,018,340$1.57B0.19%−1,377,557−9.6%Reduced
Q3 202114,395,897$1.61B0.22%+310,712+2.2%Added
Q2 202114,085,185$1.69B0.22%+1,667,339+13.4%Added
Q1 202112,417,846$1.47B0.22%+12,417,846New