Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$4.39M Buy
18,114
+57
+0.3% +$15.4K 0.12% 121
2025
Q4
$5.35M Buy
18,057
+1,467
+9% +$439K 0.14% 115
2025
Q3
$4.68M Buy
16,590
+339
+2% +$88.7K 0.12% 125
2025
Q2
$4.79M Buy
16,251
+244
+2% +$62.9K 0.14% 121
2025
Q1
$3.98M Buy
16,007
+83
+0.5% +$20.3K 0.12% 128
2024
Q4
$3.5M Sell
15,924
-2,291
-13% -$510K 0.11% 134
2024
Q3
$4.03M Sell
18,215
-70
-0.4% -$13.7K 0.12% 131
2024
Q2
$3.16M Sell
18,285
-477
-3% -$82.9K 0.1% 140
2024
Q1
$3.58M Sell
18,762
-44
-0.2% -$8.03K 0.11% 136
2023
Q4
$3.08M Sell
18,806
-690
-4% -$104K 0.11% 139
2023
Q3
$2.74M Buy
19,496
+3,024
+18% +$430K 0.11% 143
2023
Q2
$2.2M Sell
16,472
-8
-0% -$1.03K 0.08% 156
2023
Q1
$2.16M Sell
16,480
-699
-4% -$93.5K 0.09% 156
2022
Q4
$2.42M Sell
17,179
-1,186
-6% -$164K 0.1% 154
2022
Q3
$2.18M Buy
18,365
+770
+4% +$101K 0.1% 152
2022
Q2
$2.48M Buy
17,595
+558
+3% +$75.3K 0.11% 144
2022
Q1
$2.21M Sell
17,037
-160
-0.9% -$20.9K 0.09% 154
2021
Q4
$2.3M Sell
17,197
-1,189
-6% -$149K 0.08% 150
2021
Q3
$2.44M Buy
18,386
+2,101
+13% +$281K 0.1% 142
2021
Q2
$2.28M Sell
16,285
-10,180
-38% -$1.39M 0.09% 147
2021
Q1
$2.81M Buy
26,465
+1,162
+5% +$139K 0.17% 106
2020
Q4
$3.05M Sell
25,303
-3,442
-12% -$398K 0.12% 139
2020
Q3
$3.34M Sell
28,745
-2,449
-8% -$288K 0.14% 126
2020
Q2
$3.6M Sell
31,194
-658
-2% -$76.4K 0.16% 121
2020
Q1
$3.38M Buy
31,852
+2,515
+9% +$318K 0.18% 111
2019
Q4
$3.76M Sell
29,337
-3,061
-9% -$398K 0.19% 114
2019
Q3
$4.5M Sell
32,398
-1,060
-3% -$143K 0.24% 98
2019
Q2
$4.41M Sell
33,458
-605
-2% -$79.5K 0.24% 98
2019
Q1
$4.59M Buy
34,063
+181
+0.5% +$23.1K 0.26% 96
2018
Q4
$3.68M Sell
33,882
-1,434
-4% -$172K 0.24% 104
2018
Q3
$5.11M Buy
35,316
+700
+2% +$97.8K 0.28% 93
2018
Q2
$4.62M Sell
34,616
-2,090
-6% -$291K 0.27% 99
2018
Q1
$5.38M Sell
36,706
-1,430
-4% -$216K 0.31% 88
2017
Q4
$5.59M Buy
38,136
+2,537
+7% +$369K 0.3% 84
2017
Q3
$4.94M Buy
35,599
+1,676
+5% +$233K 0.27% 89
2017
Q2
$4.99M Sell
33,923
-1,549
-4% -$234K 0.28% 85
2017
Q1
$5.91M Sell
35,472
-1,847
-5% -$310K 0.35% 74
2016
Q4
$5.92M Sell
37,319
-1,183
-3% -$180K 0.37% 72
2016
Q3
$5.85M Sell
38,502
-57
-0.1% -$8.65K 0.37% 78
2016
Q2
$5.6M Sell
38,559
-2,694
-7% -$386K 0.36% 80
2016
Q1
$5.97M Sell
41,253
-1,830
-4% -$234K 0.39% 75
2015
Q4
$5.67M Sell
43,083
-9,158
-18% -$1.23M 0.37% 75
2015
Q3
$7.24M Sell
52,241
-12,051
-19% -$1.78M 0.51% 61
2015
Q2
$10M Sell
64,292
-2,296
-3% -$369K 0.64% 51
2015
Q1
$10.2M Sell
66,588
-412
-0.6% -$62.5K 0.64% 51
2014
Q4
$10.3M Sell
67,000
-1,844
-3% -$293K 0.65% 49
2014
Q3
$12.5M Sell
68,844
-239
-0.3% -$43.5K 0.82% 36
2014
Q2
$12M Sell
69,083
-461
-0.7% -$83K 0.78% 39
2014
Q1
$12.8M Sell
69,544
-18
-0% -$3.17K 0.88% 31
2013
Q4
$12.5M Sell
69,562
-882
-1% -$152K 0.9% 32
2013
Q3
$12.5M Buy
70,444
+1,242
+2% +$226K 0.99% 29
2013
Q2
$12.6M Buy
+69,202
New +$13.5M 1.04% 29

Other funds holding IBM

Associated Banc-Corp's IBM Position: Q1 2026 in Review

Associated Banc-Corp increased its IBM (IBM) stake by 0.32% in Q1 2026, buying an estimated $15.4K and bringing the position to 18,114 shares worth $4.39M. The position accounts for 0.12% of the portfolio, ranked #121.

Associated Banc-Corp first reported a position in IBM in Q2 2013 and has held it in 52 quarters since. The position peaked at $12.8M in Q1 2014. 3,462 funds tracked by Wall St. Rank hold IBM as of Q1 2026.

  • Associated Banc-Corp held 18,114 shares of IBM worth $4.39M as of Q1 2026.
  • Associated Banc-Corp bought 57 IBM shares in Q1 2026, an estimated $15.4K.
  • IBM made up 0.12% of Associated Banc-Corp's portfolio in Q1 2026, its #121 holding.
  • Associated Banc-Corp first reported a position in IBM in Q2 2013 and has held it in 52 quarters since.
  • Associated Banc-Corp's IBM position peaked at $12.8M in Q1 2014.
  • 3,462 funds tracked by Wall St. Rank held IBM as of Q1 2026.

Based on Associated Banc-Corp's 13F filing for Q1 2026, filed 1 May 2026.