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McDonald's Corporation shares owned by Chevy Chase Trust Holdings

Quarter-by-quarter ownership of McDonald's Corporation (MCD) shares owned by Chevy Chase Trust Holdings from 13F filings

Historical chart of Chevy Chase Trust Holdings investment in McDonald's Corporation

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All positions including McDonald's Corporation held by Chevy Chase Trust Holdings consolidated in one spreadsheet with up to 7 years of data

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Quarterly reported holdings in McDonald's Corporation by Chevy Chase Trust Holdings

Quarter filed Position value Share count Share price at filing
2024-03-31 $118M 418k 281.95
2023-12-31 $125M 422k 296.51
2023-09-30 $113M 427k 263.44
2023-06-30 $131M 438k 298.41
2023-03-31 $3.7M 13k 279.61
2022-12-31 $116M 440k 263.53
2022-09-30 $108M 468k 230.74
2022-06-30 $115M 465k 246.88
2022-03-31 $116M 468k 247.32
2021-12-31 $125M 467k 268.07
2021-09-30 $115M 477k 241.11
2021-06-30 $114M 495k 230.99
2021-03-31 $117M 520k 224.14
2020-12-31 $120M 559k 214.58
2020-09-30 $127M 577k 219.51
2020-06-30 $115M 624k 184.48
2020-03-31 $110M 666k 165.32
2019-12-31 $129M 657k 196.92
2019-09-30 $142M 663k 214.71
2019-06-30 $139M 667k 207.66
2019-03-31 $133M 671k 197.57
2018-12-31 $119M 669k 177.57
2018-09-30 $115M 690k 167.30
2018-06-30 $117M 747k 156.69
2018-03-31 $119M 762k 156.38
2017-12-31 $134M 778k 172.12
2017-09-30 $127M 809k 156.68
2017-06-30 $123M 805k 153.17
2017-03-31 $106M 817k 129.62
2016-12-31 $99M 810k 121.73
2016-09-30 $96M 829k 115.36
2016-06-30 $105M 872k 120.34
2016-03-31 $111M 881k 125.67
2015-12-31 $100M 844k 118.13
2015-09-30 $85M 862k 98.69
2015-06-30 $81M 856k 94.90
2015-03-31 $85M 876k 97.46
2014-12-31 $82M 880k 93.52
2014-09-30 $87M 919k 94.81
2014-06-30 $92M 917k 100.74
2014-03-31 $91M 925k 98.02
2013-12-31 $94M 965k 97.03
2013-09-30 $95M 982k 96.23
2013-06-30 $1.8M 19k 99.01
2013-03-31 $96M 959k 99.69
2012-12-31 $87M 983k 88.21
2012-09-30 $82M 899k 91.73
2012-06-30 $74M 830k 88.55
2012-03-31 $80M 817k 98.10
2011-12-31 $77M 769k 100.30
2011-09-30 $68M 772k 87.82
2011-06-30 $66M 780k 84.35
2011-03-31 $59M 769k 76.21
2010-12-31 $39M 511k 76.76