Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$43.5M Sell
128,594
-10,718
-8% -$3.69M 0.49% 38
2025
Q4
$42.3M Buy
139,312
+1,160
+0.8% +$340K 0.48% 34
2025
Q3
$38.6M Sell
138,152
-3,900
-3% -$954K 0.44% 38
2025
Q2
$32.2M Sell
142,052
-537
-0.4% -$99.5K 0.38% 40
2025
Q1
$23.7M Sell
142,589
-6,147
-4% -$1.19M 0.3% 55
2024
Q4
$29.4M Buy
148,736
+4,389
+3% +$849K 0.37% 47
2024
Q3
$25.1M Buy
144,347
+5,420
+4% +$924K 0.31% 56
2024
Q2
$24.1M Buy
138,927
+23,752
+21% +$3.6M 0.31% 61
2024
Q1
$15.7M Buy
115,175
+17,714
+18% +$2.2M 0.22% 96
2023
Q4
$10.1M Sell
97,461
-16,030
-14% -$1.53M 0.16% 153
2023
Q3
$9.86M Buy
113,491
+4,003
+4% +$379K 0.18% 131
2023
Q2
$11M Sell
109,488
-2,821
-3% -$263K 0.2% 112
2023
Q1
$10.4M Buy
112,309
+32,674
+41% +$2.93M 0.2% 115
2022
Q4
$5.93M Sell
79,635
-5,154
-6% -$373K 0.12% 211
2022
Q3
$5.81M Sell
84,789
-18,466
-18% -$1.53M 0.13% 197
2022
Q2
$8.44M Sell
103,255
-20,340
-16% -$1.88M 0.18% 137
2022
Q1
$12.9M Sell
123,595
-3,445
-3% -$403K 0.23% 100
2021
Q4
$15.3M Buy
127,040
+9,467
+8% +$1.11M 0.27% 79
2021
Q3
$13.1M Buy
117,573
+9,148
+8% +$1.07M 0.24% 93
2021
Q2
$13M Buy
108,425
+7,696
+8% +$902K 0.25% 87
2021
Q1
$11.9M Sell
100,729
-54,093
-35% -$6.7M 0.26% 83
2020
Q4
$16.9M Sell
154,822
-606
-0.4% -$57.5K 0.41% 50
2020
Q3
$12.6M Buy
155,428
+84,491
+119% +$6.42M 0.38% 54
2020
Q2
$4.03M Buy
+70,937
New +$3.74M 0.14% 177
2020
Q1
Sell
-62,348
Closed -$3.62M 1143
2019
Q4
$3.62M Buy
+62,348
New +$3.31M 0.1% 188
2019
Q3
Sell
-41,472
Closed -$1.69M 967
2019
Q2
$1.69M Buy
41,472
+3,212
+8% +$132K 0.06% 263
2019
Q1
$1.57M Buy
38,260
+5,132
+15% +$196K 0.07% 249
2018
Q4
$1.22M Buy
33,128
+6,575
+25% +$250K 0.05% 265
2018
Q3
$1.17M Sell
26,553
-2,527
-9% -$105K 0.05% 355
2018
Q2
$1.06M Sell
29,080
-1,124
-4% -$44.4K 0.05% 363
2018
Q1
$1.32M Buy
30,204
+2,776
+10% +$121K 0.06% 281
2017
Q4
$1.09M Buy
27,428
+1,139
+4% +$46.2K 0.05% 318
2017
Q3
$987K Sell
26,289
-2,661
-9% -$97.2K 0.05% 314
2017
Q2
$1.01M Buy
28,950
+7,459
+35% +$258K 0.06% 295
2017
Q1
$706K Buy
21,491
+614
+3% +$19.2K 0.05% 324
2016
Q4
$600K Sell
20,877
-252
-1% -$7.58K 0.05% 309
2016
Q3
$646K Buy
21,129
+3,990
+23% +$114K 0.06% 271
2016
Q2
$455K Buy
17,139
+154
+0.9% +$3.84K 0.05% 284
2016
Q1
$445K Sell
16,985
-2,224
-12% -$52K 0.05% 268
2015
Q4
$400K Buy
19,209
+6,625
+53% +$149K 0.04% 267
2015
Q3
$261K Buy
+12,584
New +$264K 0.04% 285
2014
Q4
Sell
-12,711
Closed -$257K 470
2014
Q3
$257K Buy
+12,711
New +$265K 0.03% 403
2014
Q2
Sell
-40,323
Closed -$807K 464
2014
Q1
$807K Sell
40,323
-9,945
-20% -$178K 0.08% 202
2013
Q4
$877K Buy
50,268
+15,621
+45% +$277K 0.09% 203
2013
Q3
$588K Buy
+34,647
New +$591K 0.06% 251

Other funds holding TSM

Atria Investments's TSM Position: Q1 2026 in Review

Atria Investments reduced its TSMC (TSM) stake by 7.7% in Q1 2026, selling an estimated $3.69M and leaving 128,594 shares worth $43.5M. The position accounts for 0.49% of the portfolio, ranked #38.

Atria Investments first reported a position in TSM in Q3 2013 and has held it in 45 quarters since. 3,257 funds tracked by Wall St. Rank hold TSM as of Q1 2026.

  • Atria Investments held 128,594 shares of TSMC worth $43.5M as of Q1 2026.
  • Atria Investments sold 10,718 TSMC shares in Q1 2026, an estimated $3.69M.
  • TSMC made up 0.49% of Atria Investments's portfolio in Q1 2026, its #38 holding.
  • Atria Investments first reported a position in TSMC in Q3 2013 and has held it in 45 quarters since.
  • 3,257 funds tracked by Wall St. Rank held TSMC as of Q1 2026.

Based on Atria Investments's 13F filing for Q1 2026, filed 5 May 2026.