Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q2
$3.32M Buy
22,658
+2,015
+10% +$365K 0.13% 67
2026
Q1
$3.04M Buy
20,643
+13,168
+176% +$2.14M 0.13% 63
2025
Q4
$1.46M Sell
7,475
-158
-2% -$37.6K 0.06% 86
2025
Q3
$2.15M Buy
7,633
+4,349
+132% +$1.11M 0.09% 72
2025
Q2
$718K Hold
3,284
0.03% 122
2025
Q1
$459K Sell
3,284
-65
-2% -$10.6K 0.02% 140
2024
Q4
$558K Sell
3,349
-18
-0.5% -$3.2K 0.04% 135
2024
Q3
$574K Hold
3,367
0.07% 126
2024
Q2
$475K Hold
3,367
0.04% 144
2024
Q1
$423K Sell
3,367
-44
-1% -$5.04K 0.04% 148
2023
Q4
$360K Sell
3,411
-306
-8% -$33.4K 0.03% 146
2023
Q3
$394K Sell
3,717
-1,118
-23% -$129K 0.04% 139
2023
Q2
$576K Sell
4,835
-81
-2% -$8.38K 0.06% 122
2023
Q1
$457K Buy
4,916
+921
+23% +$80.8K 0.05% 136
2022
Q4
$327K Buy
3,995
+3
+0.1% +$228 0.04% 153
2022
Q3
$244K Sell
3,992
-65
-2% -$4.76K 0.03% 161
2022
Q2
$283K Buy
4,057
+13
+0.3% +$952 0.03% 167
2022
Q1
$335K Sell
4,044
-68
-2% -$5.51K 0.04% 148
2021
Q4
$359K Hold
4,112
0.04% 142
2021
Q3
$358K Hold
4,112
0.04% 134
2021
Q2
$320K Sell
4,112
-28
-0.7% -$2.19K 0.04% 146
2021
Q1
$291K Sell
4,140
-123
-3% -$7.96K 0.04% 146
2020
Q4
$276K Sell
4,263
-444
-9% -$26.4K 0.04% 142
2020
Q3
$281K Hold
4,707
0.05% 127
2020
Q2
$260K Hold
4,707
0.05% 133
2020
Q1
$227K Sell
4,707
-275
-6% -$14.2K 0.05% 134
2019
Q4
$264K Sell
4,982
-573
-10% -$31.5K 0.05% 142
2019
Q3
$306K Buy
5,555
+51
+0.9% +$2.82K 0.06% 136
2019
Q2
$314K Sell
5,504
-105
-2% -$5.68K 0.07% 126
2019
Q1
$301K Sell
5,609
-51
-0.9% -$2.6K 0.08% 124
2018
Q4
$256K Sell
5,660
-28
-0.5% -$1.34K 0.08% 127
2018
Q3
$293K Sell
5,688
-1
-0% -$49 0.09% 128
2018
Q2
$251K Buy
5,689
+141
+3% +$6.5K 0.08% 132
2018
Q1
$254K Hold
5,548
0.08% 128
2017
Q4
$262K Sell
5,548
-216
-4% -$10.6K 0.07% 123
2017
Q3
$279K Sell
5,764
-211
-4% -$10.5K 0.08% 110
2017
Q2
$300K Sell
5,975
-104
-2% -$4.74K 0.11% 105
2017
Q1
$271K Buy
6,079
+57
+0.9% +$2.37K 0.1% 110
2016
Q4
$232K Sell
6,022
-205
-3% -$8.02K 0.09% 114
2016
Q3
$245K Buy
6,227
+113
+2% +$4.6K 0.15% 108
2016
Q2
$250K Sell
6,114
-553
-8% -$22.1K 0.14% 109
2016
Q1
$273K Sell
6,667
-5,086
-43% -$188K 0.18% 89
2015
Q4
$429K Sell
11,753
-953
-8% -$36.4K 0.31% 73
2015
Q3
$459K Sell
12,706
-693
-5% -$26.6K 0.36% 97
2015
Q2
$540K Sell
13,399
-952
-7% -$41.3K 0.4% 96
2015
Q1
$619K Sell
14,351
-360
-2% -$15.6K 0.43% 92
2014
Q4
$662K Sell
14,711
-13
-0.1% -$529 0.46% 90
2014
Q3
$564K Sell
14,724
-797
-5% -$32.3K 0.4% 102
2014
Q2
$629K Sell
15,521
-4,034
-21% -$166K 0.44% 100
2014
Q1
$800K Sell
19,555
-7,503
-28% -$286K 0.53% 77
2013
Q4
$1.03M Sell
27,058
-40,796
-60% -$1.4M 0.54% 59
2013
Q3
$2.25M Buy
67,854
+308
+0.5% +$9.99K 0.79% 44
2013
Q2
$2.07M Buy
+67,546
New +$2.24M 0.73% 49

Other funds holding ORCL

Bell Bank's ORCL Position: Q2 2026 in Review

Bell Bank increased its Oracle (ORCL) stake by 9.8% in Q2 2026, buying an estimated $365K and bringing the position to 22,658 shares worth $3.32M. The position accounts for 0.13% of the portfolio, ranked #67.

Bell Bank first reported a position in ORCL in Q2 2013 and has held it in 53 quarters since. 697 funds tracked by Wall St. Rank hold ORCL as of Q2 2026.

  • Bell Bank held 22,658 shares of Oracle worth $3.32M as of Q2 2026.
  • Bell Bank bought 2,015 Oracle shares in Q2 2026, an estimated $365K.
  • Oracle made up 0.13% of Bell Bank's portfolio in Q2 2026, its #67 holding.
  • Bell Bank first reported a position in Oracle in Q2 2013 and has held it in 53 quarters since.
  • 697 funds tracked by Wall St. Rank held Oracle as of Q2 2026.

Based on Bell Bank's 13F filing for Q2 2026, filed 16 Jul 2026.