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Procter & Gamble Company shares owned by Mitsubishi UFJ Trust & Banking Corp

Quarter-by-quarter ownership of Procter & Gamble Company (PG) shares owned by Mitsubishi UFJ Trust & Banking Corp from 13F filings

Historical chart of Mitsubishi UFJ Trust & Banking Corp investment in Procter & Gamble Company

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All positions including Procter & Gamble Company held by Mitsubishi UFJ Trust & Banking Corp consolidated in one spreadsheet with up to 7 years of data

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Quarterly reported holdings in Procter & Gamble Company by Mitsubishi UFJ Trust & Banking Corp

Quarter filed Position value Share count Share price at filing
2023-12-31 $247M 1.7M 146.54
2023-09-30 $242M 1.7M 145.86
2023-06-30 $266M 1.8M 151.74
2023-03-31 $267M 1.8M 148.69
2022-12-31 $269M 1.8M 151.56
2022-09-30 $219M 1.7M 126.25
2022-06-30 $260M 1.8M 143.79
2022-03-31 $247M 1.6M 152.80
2021-12-31 $279M 1.7M 163.58
2021-09-30 $250M 1.8M 139.80
2021-06-30 $250M 1.9M 134.93
2021-03-31 $301M 2.2M 135.43
2020-12-31 $354M 2.5M 139.14
2020-09-30 $355M 2.6M 138.99
2020-06-30 $292M 2.4M 119.57
2020-03-31 $328M 3.0M 110.00
2019-12-31 $352M 2.8M 124.90
2019-09-30 $362M 2.9M 124.57
2019-06-30 $293M 2.7M 109.78
2019-03-31 $260M 2.5M 103.55
2018-12-31 $226M 2.5M 91.92
2018-09-30 $187M 2.2M 83.23
2018-06-30 $430M 5.5M 78.06
2018-03-31 $438M 5.5M 79.28
2017-12-31 $511M 5.6M 91.88
2017-09-30 $509M 5.6M 90.98
2017-06-30 $488M 5.6M 87.15
2017-03-31 $505M 5.6M 89.85
2016-12-31 $473M 5.6M 84.08
2016-09-30 $534M 6.0M 89.75
2016-06-30 $499M 5.9M 84.67
2016-03-31 $473M 5.7M 82.31
2015-12-31 $448M 5.6M 79.41
2015-09-30 $409M 5.7M 71.94
2015-06-30 $439M 5.6M 78.24
2015-03-31 $455M 5.6M 81.94
2014-12-31 $487M 5.3M 91.09
2014-09-30 $442M 5.3M 83.74
2014-06-30 $441M 5.6M 78.59
2014-03-31 $458M 5.7M 80.60
2013-12-31 $440M 5.4M 81.41
2013-09-30 $419M 5.5M 75.59
2013-06-30 $425M 5.5M 76.99
2012-12-31 $433M 6.4M 67.89
2012-09-30 $451M 6.5M 69.36
2012-06-30 $400M 6.5M 61.25
2012-03-31 $439M 6.5M 67.21
2011-12-31 $457M 6.9M 66.71
2011-09-30 $440M 7.0M 63.18
2011-06-30 $426M 6.7M 63.57
2011-03-31 $406M 6.6M 61.60