Current Value of Holding

$13.5M

Shares

189k

% of Portfolio

0.07%

Average Buy Price

$63.8

Avg closing price
Price range

25 Paul Tudor Jones II Taylor Morrison Home Trades

Paul Tudor Jones II acquired 189k Taylor Morrison Home shares worth $13.5M. That's 0.07% of their equity portfolio (341st largest holding). The first Taylor Morrison Home trade was made in Q2 2013. Since then Paul Tudor Jones II bought shares twelve more times and sold shares on twelve occasions. The stake costed the investor $12M, netting the investor a gain of 12% so far.

Avg closing price
Price range
Sold 42.1% shares (-137k shares) Q1 2026
Avg closing price $62.25
Price range $57.21 - $68.92
Sold 0.0% shares (-9 shares) Q4 2025
Avg closing price $61.17
Price range $57.78 - $67.93
Increased shares by 181.5% (+210k shares) Q3 2025
Avg closing price $65.80
Price range $59.28 - $71.90
Increased shares by 97.0% (+57k shares) Q2 2025
Avg closing price $58.04
Price range $53.93 - $61.50
New holding (+58.8k shares) Q1 2025
Avg closing price $62.32
Price range $58.09 - $67.05
Sold -9.63k shares Q4 2024
Avg closing price $68.12
Price range $59.73 - $74.80
Sold 83.1% shares (-47.3k shares) Q3 2024
Avg closing price $63.95
Price range $53.53 - $71.86
New holding (+56.9k shares) Q2 2024
Avg closing price $57.15
Price range $53.80 - $61.93
Sold -45.5k shares Q3 2022
Avg closing price $25.97
Price range $22.81 - $28.88
New holding (+45.5k shares) Q2 2022
Avg closing price $26.48
Price range $20.69 - $29.46
Sold -67.3k shares Q4 2020
Avg closing price $25.50
Price range $21.60 - $27.59
New holding (+67.3k shares) Q3 2020
Avg closing price $23.64
Price range $18.62 - $25.99
Sold -38.3k shares Q1 2020
Avg closing price $21.50
Price range $7.05 - $28.30
Increased shares by 29.0% (+8.62k shares) Q4 2019
Avg closing price $24.04
Price range $21.63 - $27.68
New holding (+29.7k shares) Q3 2019
Avg closing price $23.04
Price range $21.07 - $25.94
Sold -78.8k shares Q3 2017
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Sold 10.3% shares (-9.01k shares) Q2 2017
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Increased shares by 625.5% (+75.7k shares) Q1 2017
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New holding (+12.1k shares) Q4 2016
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Sold -16.7k shares Q2 2016
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