Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$1.73B Buy
5,314,394
+286,152
+6% +$91.8M 0.4% 41
2025
Q4
$1.57B Sell
5,028,242
-25,255
-0.5% -$7.38M 0.35% 48
2025
Q3
$1.43B Buy
5,053,497
+427,512
+9% +$118M 0.33% 53
2025
Q2
$1.34B Sell
4,625,985
-70,697
-2% -$20.3M 0.33% 54
2025
Q1
$1.42B Buy
4,696,682
+304,751
+7% +$84.7M 0.38% 46
2024
Q4
$1.21B Sell
4,391,931
-401,531
-8% -$114M 0.31% 60
2024
Q3
$1.38B Sell
4,793,462
-139,927
-3% -$38.4M 0.35% 52
2024
Q2
$1.26B Buy
4,933,389
+63,891
+1% +$16.4M 0.34% 51
2024
Q1
$1.26B Sell
4,869,498
-510,376
-9% -$125M 0.35% 49
2023
Q4
$1.22B Sell
5,379,874
-274,076
-5% -$59.9M 0.36% 53
2023
Q3
$1.18B Sell
5,653,950
-12,820
-0.2% -$2.59M 0.39% 51
2023
Q2
$1.09B Buy
5,666,770
+599,387
+12% +$117M 0.34% 59
2023
Q1
$983M Buy
5,067,383
+837,385
+20% +$176M 0.32% 65
2022
Q4
$933M Sell
4,229,998
-324,455
-7% -$67.5M 0.32% 69
2022
Q3
$829M Buy
4,554,453
+24,055
+0.5% +$4.57M 0.31% 73
2022
Q2
$890M Sell
4,530,398
-49,925
-1% -$10.3M 0.31% 71
2022
Q1
$979M Buy
4,580,323
+107,486
+2% +$21.8M 0.29% 73
2021
Q4
$863M Buy
4,472,837
+97,244
+2% +$18.3M 0.24% 91
2021
Q3
$759M Sell
4,375,593
-760,100
-15% -$133M 0.24% 85
2021
Q2
$816M Buy
5,135,693
+136,417
+3% +$22.6M 0.25% 79
2021
Q1
$788M Buy
4,999,276
+189,004
+4% +$30.5M 0.26% 79
2020
Q4
$740M Buy
4,810,272
+282,545
+6% +$39.6M 0.26% 76
2020
Q3
$526M Buy
4,527,727
+149,228
+3% +$18.7M 0.21% 96
2020
Q2
$554M Buy
4,378,499
+513,420
+13% +$59.5M 0.24% 90
2020
Q1
$432M Buy
3,865,079
+176,649
+5% +$25.3M 0.23% 90
2019
Q4
$574M Buy
3,688,430
+427,567
+13% +$65.4M 0.24% 81
2019
Q3
$526M Buy
3,260,863
+208,965
+7% +$32.3M 0.24% 84
2019
Q2
$450M Buy
3,051,898
+71,442
+2% +$10.3M 0.2% 102
2019
Q1
$418M Sell
2,980,456
-26,141
-0.9% -$3.48M 0.19% 105
2018
Q4
$388M Buy
3,006,597
+4,393
+0.1% +$568K 0.19% 102
2018
Q3
$528M Sell
3,002,204
-20,789
-0.7% -$2.81M 0.18% 115
2018
Q2
$384M Sell
3,022,993
-49,265
-2% -$6.55M 0.17% 126
2018
Q1
$420M Sell
3,072,258
-173,939
-5% -$25.2M 0.19% 113
2017
Q4
$474M Buy
3,246,197
+31,600
+1% +$4.72M 0.22% 98
2017
Q3
$458M Buy
3,214,597
+38,282
+1% +$5.54M 0.22% 103
2017
Q2
$462M Sell
3,176,315
-108,038
-3% -$15.2M 0.23% 99
2017
Q1
$447M Sell
3,284,353
-306,786
-9% -$41.3M 0.23% 94
2016
Q4
$475M Sell
3,591,139
-23,321
-0.6% -$2.97M 0.26% 79
2016
Q3
$454M Sell
3,614,460
-163,074
-4% -$20.7M 0.25% 81
2016
Q2
$494M Buy
3,777,534
+25,345
+0.7% +$3.12M 0.29% 70
2016
Q1
$447M Buy
3,752,189
+289,712
+8% +$33.3M 0.27% 78
2015
Q4
$405M Sell
3,462,477
-119,697
-3% -$13.5M 0.24% 93
2015
Q3
$370M Buy
3,582,174
+23,946
+0.7% +$2.5M 0.23% 92
2015
Q2
$362M Buy
3,558,228
+36,279
+1% +$3.91M 0.21% 107
2015
Q1
$393M Sell
3,521,949
-513,594
-13% -$57.7M 0.23% 99
2014
Q4
$464M Sell
4,035,543
-297,478
-7% -$32.9M 0.27% 84
2014
Q3
$454M Sell
4,333,021
-219,547
-5% -$22.9M 0.27% 82
2014
Q2
$472M Buy
4,552,568
+30,722
+0.7% +$3.15M 0.28% 88
2014
Q1
$448M Sell
4,521,846
-191,220
-4% -$18.5M 0.27% 90
2013
Q4
$488M Buy
4,713,066
+2,269,027
+93% +$223M 0.3% 73
2013
Q3
$229M Sell
2,444,039
-354,417
-13% -$32.4M 0.15% 164
2013
Q2
$250M Buy
+2,798,456
New +$251M 0.17% 137

Other funds holding CB

Ameriprise's CB Position: Q1 2026 in Review

Ameriprise increased its Chubb (CB) stake by 5.7% in Q1 2026, buying an estimated $91.8M and bringing the position to 5,314,394 shares worth $1.73B. The position accounts for 0.4% of the portfolio, ranked #41.

Ameriprise first reported a position in CB in Q2 2013 and has held it in 52 quarters since. 2,104 funds tracked by Wall St. Rank hold CB as of Q1 2026.

  • Ameriprise held 5,314,394 shares of Chubb worth $1.73B as of Q1 2026.
  • Ameriprise bought 286,152 Chubb shares in Q1 2026, an estimated $91.8M.
  • Chubb made up 0.4% of Ameriprise's portfolio in Q1 2026, its #41 holding.
  • Ameriprise first reported a position in Chubb in Q2 2013 and has held it in 52 quarters since.
  • 2,104 funds tracked by Wall St. Rank held Chubb as of Q1 2026.

Based on Ameriprise's 13F filing for Q1 2026, filed 15 May 2026.