Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$21.3M Sell
88,070
-2,020
-2% -$547K 2.54% 5
2025
Q4
$26.7M Sell
90,090
-12,860
-12% -$3.85M 3.15% 5
2025
Q3
$29M Buy
102,950
+6,982
+7% +$1.83M 3.51% 5
2025
Q2
$28.3M Sell
95,968
-1,653
-2% -$426K 3.72% 4
2025
Q1
$24.3M Sell
97,621
-3,510
-3% -$859K 3.25% 4
2024
Q4
$22.2M Sell
101,131
-2,376
-2% -$529K 2.85% 5
2024
Q3
$22.9M Sell
103,507
-1,438
-1% -$282K 2.89% 5
2024
Q2
$18.2M Buy
104,945
+695
+0.7% +$121K 2.39% 5
2024
Q1
$19.9M Sell
104,250
-1,109
-1% -$202K 2.61% 5
2023
Q4
$17.2M Sell
105,359
-535
-0.5% -$80.8K 2.25% 6
2023
Q3
$14.9M Sell
105,894
-1,789
-2% -$255K 2.08% 6
2023
Q2
$14.4M Sell
107,683
-19,578
-15% -$2.53M 1.9% 7
2023
Q1
$16.7M Sell
127,261
-1,447
-1% -$194K 2.25% 5
2022
Q4
$18.1M Sell
128,708
-5,018
-4% -$692K 2.53% 4
2022
Q3
$15.9M Buy
133,726
+677
+0.5% +$88.8K 2.42% 6
2022
Q2
$18.8M Sell
133,049
-2,270
-2% -$306K 2.69% 5
2022
Q1
$17.6M Buy
135,319
+621
+0.5% +$81K 2.17% 6
2021
Q4
$18M Sell
134,698
-7,015
-5% -$880K 2.08% 6
2021
Q3
$18.8M Buy
141,713
+1,785
+1% +$239K 2.29% 6
2021
Q2
$19.6M Sell
139,928
-2,182
-2% -$298K 2.32% 5
2021
Q1
$18.1M Sell
142,110
-512
-0.4% -$61.3K 2.26% 5
2020
Q4
$17.2M Buy
142,622
+2,246
+2% +$260K 2.33% 6
2020
Q3
$16.3M Buy
140,376
+11,717
+9% +$1.38M 2.47% 6
2020
Q2
$14.9M Buy
128,659
+1,213
+1% +$141K 2.49% 6
2020
Q1
$13.5M Sell
127,446
-1,548
-1% -$196K 2.92% 5
2019
Q4
$16.5M Sell
128,994
-1,872
-1% -$243K 2.91% 5
2019
Q3
$18.2M Sell
130,866
-1,637
-1% -$221K 3.45% 5
2019
Q2
$17.5M Sell
132,503
-462
-0.3% -$60.7K 3.36% 5
2019
Q1
$17.9M Sell
132,965
-3,272
-2% -$417K 3.62% 5
2018
Q4
$14.8M Sell
136,237
-1,959
-1% -$235K 3.29% 5
2018
Q3
$20M Buy
138,196
+5,036
+4% +$704K 3.92% 4
2018
Q2
$17.8M Sell
133,160
-492
-0.4% -$68.6K 3.32% 4
2018
Q1
$19.6M Sell
133,652
-4,065
-3% -$615K 3.68% 3
2017
Q4
$20.2M Buy
137,717
+2,251
+2% +$327K 2.16% 5
2017
Q3
$18.8M Sell
135,466
-883
-0.6% -$123K 2.07% 6
2017
Q2
$20.1M Buy
136,349
+1,708
+1% +$258K 2.17% 4
2017
Q1
$22.4M Sell
134,641
-5,377
-4% -$902K 4.71% 2
2016
Q4
$22.2M Sell
140,018
-758
-0.5% -$115K 4.87% 2
2016
Q3
$21.4M Buy
140,776
+1,054
+0.8% +$160K 4.88% 2
2016
Q2
$20.3M Sell
139,722
-3,101
-2% -$444K 4.78% 2
2016
Q1
$20.7M Sell
142,823
-1,731
-1% -$221K 4.99% 2
2015
Q4
$19M Sell
144,554
-30
-0% -$4.03K 4.6% 2
2015
Q3
$20M Buy
144,584
+224
+0.2% +$33.1K 5.18% 2
2015
Q2
$22.4M Sell
144,360
-1,807
-1% -$290K 5.32% 2
2015
Q1
$22.4M Sell
146,167
-1,301
-0.9% -$197K 5.22% 2
2014
Q4
$22.6M Buy
+147,468
New +$23.5M 5.13% 3

Other funds holding IBM

Community Bank's IBM Position: Q1 2026 in Review

Community Bank reduced its IBM (IBM) stake by 2.2% in Q1 2026, selling an estimated $547K and leaving 88,070 shares worth $21.3M. The position accounts for 2.54% of the portfolio, ranked #5.

Community Bank first reported a position in IBM in Q4 2014 and has held it in 46 quarters since. The position peaked at $29M in Q3 2025. 3,462 funds tracked by Wall St. Rank hold IBM as of Q1 2026.

  • Community Bank held 88,070 shares of IBM worth $21.3M as of Q1 2026.
  • Community Bank sold 2,020 IBM shares in Q1 2026, an estimated $547K.
  • IBM made up 2.54% of Community Bank's portfolio in Q1 2026, its #5 holding.
  • Community Bank first reported a position in IBM in Q4 2014 and has held it in 46 quarters since.
  • Community Bank's IBM position peaked at $29M in Q3 2025.
  • 3,462 funds tracked by Wall St. Rank held IBM as of Q1 2026.

Based on Community Bank's 13F filing for Q1 2026, filed 12 May 2026.