NYSE : TJX

The TJX Companies, Inc. — Institutional Ownership

$156.58 USD

$2.36 (1.53%)

Volume
2.86M
Average Volume
5.93M
Market Capitalization
$172.97B
P/E Ratio
30.34
Dividend Yield
1.12%
Price Target
$187.50
Year High
$170.00
Year Low
$123.78
Day High
Day Low
Payout Ratio
$0.33
Current Ratio
$1.14
Institutional Ownership Summary
Institutional Ownership %

4.03%

Investors Holding

859

change: -1930 | last: 2789
Increased Positions

408

change: -963 | last: 1371
Reduced Positions

327

change: -701 | last: 1028
New Positions

50

change: -160 | last: 210
Sold Positions

1921

change: 1739 | last: 182
Total Calls

800

Total Puts

2500

Put-Call Ratio

3.13

change: 229.3457 | last: 0.8315
Total Invested

6.68B

Beneficial Ownership Filings
Filing Date Reporting Person Amount Beneficially Owned % of Class
2026-04-30 Vanguard Capital Management 83.21M 7.49%
2026-03-27 The Vanguard Group - 0.00%
2025-02-05 BlackRock, Inc. 99.66M 8.90%
2022-02-10 The Vanguard Group - 23-1945930 89.86M 7.53%
2022-02-04 Wellington Group Holdings LLP 83.55M 7.00%
2022-02-04 Wellington Management Company LLP 80.4M 6.74%
2022-02-04 Wellington Investment Advisors Holdings LLP 83.55M 7.00%
2022-02-04 Wellington Management Group LLP 83.55M 7.00%
2022-02-01 (1) BlackRock, Inc. 76.6M 6.40%
2021-02-10 The Vanguard Group - 23-1945930 94.58M 7.88%
2021-02-04 Wellington Management Group LLP 101.16M 8.43%
2021-02-04 Wellington Management Company LLP 96.23M 8.02%
2021-02-04 Wellington Investment Advisors Holdings LLP 101.16M 8.43%
2021-02-04 Wellington Group Holdings LLP 101.16M 8.43%
2021-02-01 (1) BlackRock, Inc. 86.92M 7.20%
2020-02-12 The Vanguard Group - 23-1945930 99.01M 8.22%
2020-02-06 (1) BlackRock, Inc. 88.66M 7.40%
2020-01-28 Wellington Group Holdings LLP 67.08M 5.58%
2020-01-28 Wellington Management Group LLP 67.08M 5.58%
2020-01-28 Wellington Management Company LLP 61.85M 5.14%
2020-01-28 Wellington Investment Advisors Holdings LLP 67.08M 5.58%
2019-02-06 (1) BlackRock, Inc. 90.26M 7.30%
2018-01-23 (1) BlackRock, Inc. 45.35M 7.20%
2017-01-27 (1) BlackRock, Inc. 41.61M 6.40%
2016-02-10 (1) BlackRock, Inc. 38.83M 5.80%
2015-02-13 Abigail P. Johnson 58.06M 8.38%
2015-02-13 Edward C. Johnson 3d 58.06M 8.38%
2015-02-13 FMR LLC 58.06M 8.38%
2015-02-09 (1) BlackRock, Inc. 35.73M 5.20%
2014-02-04 (1) BlackRock, Inc. 36.19M 5.10%
2013-02-14 Edward C. Johnson 3d 77.98M 10.69%
2013-02-14 FMR LLC 77.98M 10.69%
2013-02-12 Prudential Financial, Inc. 7.5M 6.00%
2013-01-30 (1) BlackRock, Inc. 40.53M 5.56%
2012-02-14 Edward C. Johnson 3d 47.93M 12.71%
2012-02-14 FMR LLC 47.93M 12.71%
2010-02-16 Edward C. Johnson 3d 32.96M 7.85%
2010-02-16 FMR LLC 32.96M 7.85%
2009-02-17 FMR LLC 24.9M 5.98%
2009-02-17 Edward C. Johnson 3d 24.9M 5.98%
2008-02-14 FMR LLC 10.76M 2.46%
2008-02-14 Edward C. Johnson 3d 10.76M 2.46%
2007-02-14 FMR Corp. 23.69M 5.21%
2007-02-14 Edward C. Johnson 3d 23.69M 5.21%
2006-10-10 PZENA INVESTMENT MANAGEMENT, LLC 22.42M 4.99%
2006-02-14 PZENA INVESTMENT MANAGEMENT, LLC 26.71M 5.80%
2004-02-13 13-2628641 40.9M 8.13%
2003-02-14 13-2628641 41.32M 7.87%
2002-02-14 FMR Corp. 10.21M 3.72%
2002-02-14 Abigail P. Johnson 10.21M 3.72%
2002-02-14 Edward C. Johnson 3d 10.21M 3.72%
2002-02-14 13-2628641 21.03M 7.71%
2002-02-12 04-2683227 12.17M 4.46%
2002-02-12 Vanguard Windsor Funds - Vanguard Windsor Fund 11.32M 4.15%
2001-02-15 13-2628641 21.19M 7.58%
2001-02-14 Edward C. Johnson 3d 20.71M 7.36%
2001-02-14 Abigail P. Johnson 20.71M 7.36%
2001-02-14 FMR Corp. 20.71M 7.36%
2001-02-14 Vanguard Windsor Funds - Vanguard Windsor Fund 19.51M 6.94%
2001-02-13 04-2683227 18.66M 6.67%
2000-01-10 FMR Corp. 25.84M 8.33%
2000-01-10 Abigail P. Johnson 25.84M 8.33%
2000-01-10 Edward C. Johnson 3d 25.84M 8.33%
1999-02-12 Edward C. Johnson 3d 43.34M 13.41%
1999-02-12 FMR Corp. 43.34M 13.41%
1999-02-12 Abigail P. Johnson 43.34M 13.41%
1998-02-11 FMR Corp. 21.57M 13.23%
1998-02-11 Abigail P. Johnson 21.57M 13.23%
1998-02-11 Edward C. Johnson 3d 21.57M 13.23%
1997-02-13 Edward C. Johnson 3d 11.85M 14.92%
1997-02-13 Abigail P. Johnson 11.85M 14.92%
1997-02-13 04-2507163) 11.85M 14.92%
1997-01-24 39-6006423 3.25M 4.18%
1996-02-14 ###-##-####) 9.93M 13.71%
1996-02-14 ###-##-####) 9.93M 13.71%
1996-02-14 04-2507163) 9.93M 13.71%
1996-02-06 39-6006423 4.25M 5.87%
1995-11-09 ###-##-####) 9.41M 13.00%
1995-11-09 04-2507163) 9.41M 13.00%
1995-10-10 ###-##-####) 4.02M 5.55%
1995-10-10 04-2507163) 4.02M 5.55%
1995-09-11 Goldman, Sachs & Co. 3.04M 4.20%
1995-09-11 The Goldman Sachs Group, L.P. 3.04M 4.20%
1995-02-10 04-2507163) 8.17M 11.28%
1995-02-10 ###-##-####) 8.17M 11.28%
1995-02-10 Goldman, Sachs & Co. 3.82M 5.30%
1995-02-10 The Goldman Sachs Group, L.P. 3.82M 5.30%
TJX Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-01-31 $149.81 1.12B $168.54B $6.23B $13.49B $175.8B
2025-01-31 $124.79 1.13B $140.76B $5.34B $12.78B $148.21B
2024-01-31 $94.91 1.15B $108.77B $5.6B $12.54B $115.71B
2023-01-31 $81.86 1.17B $95.45B $5.48B $12.74B $102.72B
2022-01-31 $71.97 1.2B $86.36B $6.23B $12.51B $92.64B
2021-01-31 $64.07 1.2B $76.88B $10.47B $15.5B $81.91B
2020-01-31 $59.04 1.21B $71.33B $3.22B $11.46B $79.58B
2019-01-31 $49.73 1.24B $61.72B $3.03B $2.48B $61.17B
2018-01-31 $40.16 1.27B $51.15B $2.76B $2.45B $50.84B
2017-01-31 $37.46 1.29B $48.42B $2.93B $2.4B $47.9B
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-05-02 $156.83 1.12B $175.65B $5.58B $14.18B $184.25B
2026-01-31 $149.81 1.12B $168.54B $6.23B $13.49B $175.8B
2025-11-01 $140.14 1.13B $157.8B $4.64B $13.19B $166.35B
2025-08-02 $126.00 1.13B $142.13B $4.64B $13.12B $150.61B
2025-05-03 $129.21 1.13B $146.27B $4.26B $13.06B $155.07B
2025-01-31 $124.79 1.14B $142.01B $5.34B $12.78B $149.45B
2024-11-02 $112.39 1.13B $126.66B $4.72B $12.71B $134.66B
2024-08-03 $113.14 1.13B $127.87B $5.25B $12.65B $135.27B
2024-05-04 $95.11 1.13B $107.71B $5.06B $12.64B $115.3B
2024-01-31 $94.91 1.13B $107.59B $5.6B $12.54B $114.53B
2023-10-28 $87.19 1.14B $99.75B $4.29B $12.52B $107.97B
2023-07-29 $86.85 1.15B $99.7B $4.55B $12.57B $107.72B