TAIWAN SEMICON MFG LTD(5COMSH) C WorldWide Group Holding A S holding in Form 13-F

TSM NYSE

C WorldWide Group Holding A S reported holding of TSM

C WorldWide Group Holding A S reported holding of TSM

This chart displays the historical ownership data of TSM by C WorldWide Group Holding A S. At the end of Q4 2014 the holding was valued at $272,000. This increased to $185,301,000 at the end of Q2 2025.

C WorldWide Group Holding A S reported holding of TSM
Date Holding Value
272000
4040000
4248000
4942000
5238000
8983000
8400000
51283000
64285000
66743000
74532000
80486000
84557000
92715000
6156000
6976000
4937000
5491000
5363000
6400000
51035000
40697000
66348000
65644000
88735000
95008000
97280000
93449000
98147000
86931000
67906000
62725000
61895000
77757000
79981000
66189000
76979000
99620000
130154000
135130000
151760000
135857000
185301000

C WorldWide Group Holding A S reported holdings of TSM from Q4 2014 to Q2 2025

Historical holdings data showing quarterly positions, market values, shares held, and portfolio percentages for TSM held by C WorldWide Group Holding A S from Q4 2014 to Q2 2025
FilingExplorer.com
C WorldWide Group Holding A S reported holdings of TSM from Q4 2014 to Q2 2025
Reporting period Holding Type Market Value % of portfolio Shares Change in shares % Change in shares
Q4 2014 Stock $272,000 < 0.01% 12,150 12,150 0
Q1 2015 Stock $4,040,000 0.06% 172,060 159,910 1316.13%
Q2 2015 Stock $4,248,000 0.06% 187,060 15,000 8.72%
Q3 2015 Stock $4,942,000 0.08% 238,160 51,100 27.32%
Q4 2015 Stock $5,238,000 0.09% 230,260 -7,900 -3.32%
Q1 2016 Stock $8,983,000 0.17% 342,860 112,600 48.9%
Q2 2016 Stock $8,400,000 0.16% 320,260 -22,600 -6.59%
Q3 2016 Stock $51,283,000 0.9% 1,676,460 1,356,200 423.47%
Q4 2016 Stock $64,285,000 1.24% 2,236,002 559,542 33.38%
Q1 2017 Stock $66,743,000 1.13% 2,032,383 -203,619 -9.11%
Q2 2017 Stock $74,532,000 1.13% 2,131,927 99,544 4.9%
Q3 2017 Stock $80,486,000 1.14% 2,143,435 11,508 0.54%
Q4 2017 Stock $84,557,000 1.22% 2,132,581 -10,854 -0.51%
Q1 2018 Stock $92,715,000 1.42% 2,118,723 -13,858 -0.65%
Q2 2018 Stock $6,156,000 0.09% 168,390 -1,950,333 -92.05%
Q3 2018 Stock $6,976,000 0.09% 157,969 -10,421 -6.19%
Q4 2018 Stock $4,937,000 0.07% 133,749 -24,220 -15.33%
Q1 2019 Stock $5,491,000 0.07% 134,052 303 0.23%
Q2 2019 Stock $5,363,000 0.07% 136,911 2,859 2.13%
Q3 2019 Stock $6,400,000 0.08% 137,708 797 0.58%
Q4 2019 Stock $51,035,000 0.61% 878,403 740,695 537.87%
Q1 2020 Stock $40,697,000 0.57% 851,567 -26,836 -3.06%
Q2 2020 Stock $66,348,000 0.77% 1,168,721 317,154 37.24%
Q3 2020 Stock $65,644,000 0.74% 809,714 -359,007 -30.72%
Q4 2020 Stock $88,735,000 0.89% 813,786 4,072 0.5%
Q1 2021 Stock $95,008,000 0.93% 803,251 -10,535 -1.29%
Q2 2021 Stock $97,280,000 1.0% 809,583 6,332 0.79%
Q3 2021 Stock $93,449,000 0.96% 836,984 27,401 3.38%
Q4 2021 Stock $98,147,000 0.93% 815,779 -21,205 -2.53%
Q1 2022 Stock $86,931,000 0.95% 833,790 18,011 2.21%
Q2 2022 Stock $67,906,000 0.85% 830,646 -3,144 -0.38%
Q3 2022 Stock $62,725,000 0.86% 914,894 84,248 10.14%
Q4 2022 Stock $61,895,000 0.82% 830,920 -83,974 -9.18%
Q1 2023 Stock $77,757,000 1.06% 835,916 4,996 0.6%
Q2 2023 Stock $79,981,000 1.03% 792,516 -43,400 -5.19%
Q3 2023 Stock $66,189,000 0.9% 761,663 -30,853 -3.89%
Q4 2023 Stock $76,979,000 1.03% 740,182 -21,481 -2.82%
Q1 2024 Stock $99,620,000 1.14% 732,234 -7,948 -1.07%
Q2 2024 Stock $130,154,000 1.41% 748,830 16,596 2.27%
Q3 2024 Stock $135,130,000 1.4% 778,086 29,256 3.91%
Q4 2024 Stock $151,760,000 1.85% 768,442 -9,644 -1.24%
Q1 2025 Stock $135,857,000 1.69% 818,416 49,974 6.5%
Q2 2025 Stock $185,301,000 2.51% 818,140 -276 -0.03%
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