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Johnson & Johnson shares owned by Chevy Chase Trust Holdings

Quarter-by-quarter ownership of Johnson & Johnson (JNJ) shares owned by Chevy Chase Trust Holdings from 13F filings

Historical chart of Chevy Chase Trust Holdings investment in Johnson & Johnson

Tip: Access up to 7 years of quarterly data

All positions including Johnson & Johnson 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 Johnson & Johnson by Chevy Chase Trust Holdings

Quarter filed Position value Share count Share price at filing
2023-12-31 $277M 1.8M 156.74
2023-09-30 $290M 1.9M 155.75
2023-06-30 $331M 2.0M 165.52
2023-03-31 $7.2M 47k 155.00
2022-12-31 $339M 1.9M 176.65
2022-09-30 $334M 2.0M 163.36
2022-06-30 $350M 2.0M 177.52
2022-03-31 $322M 1.8M 177.23
2021-12-31 $311M 1.8M 171.07
2021-09-30 $301M 1.9M 161.50
2021-06-30 $323M 2.0M 164.74
2021-03-31 $336M 2.0M 164.35
2020-12-31 $341M 2.2M 157.37
2020-09-30 $333M 2.2M 148.87
2020-06-30 $338M 2.4M 140.63
2020-03-31 $330M 2.5M 131.13
2019-12-31 $361M 2.5M 144.62
2019-09-30 $325M 2.5M 129.38
2019-06-30 $358M 2.6M 139.28
2019-03-31 $372M 2.6M 141.20
2018-12-31 $341M 2.6M 129.05
2018-09-30 $357M 2.6M 138.17
2018-06-30 $319M 2.6M 121.34
2018-03-31 $338M 2.6M 128.15
2017-12-31 $378M 2.7M 139.72
2017-09-30 $351M 2.7M 130.01
2017-06-30 $354M 2.7M 132.30
2017-03-31 $337M 2.7M 124.42
2016-12-31 $310M 2.7M 115.20
2016-09-30 $319M 2.7M 118.13
2016-06-30 $334M 2.8M 121.30
2016-03-31 $294M 2.7M 108.19
2015-12-31 $271M 2.6M 102.72
2015-09-30 $244M 2.6M 93.35
2015-06-30 $249M 2.6M 97.43
2015-03-31 $316M 3.1M 100.60
2014-12-31 $260M 2.5M 104.56
2014-09-30 $268M 2.5M 106.59
2014-06-30 $251M 2.4M 104.66
2014-03-31 $240M 2.4M 98.23
2013-12-31 $223M 2.4M 91.58
2013-09-30 $208M 2.4M 86.69
2013-06-30 $4.5M 52k 85.85
2013-03-31 $187M 2.3M 81.53
2012-12-31 $164M 2.3M 70.10
2012-09-30 $146M 2.1M 68.92
2012-06-30 $130M 1.9M 67.56
2012-03-31 $121M 1.8M 65.96
2011-12-31 $110M 1.7M 65.59
2011-09-30 $106M 1.7M 63.68
2011-06-30 $111M 1.7M 66.52
2011-03-31 $97M 1.6M 59.25
2010-12-31 $81M 1.3M 61.85