Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$3.46M Buy
10,250
+151
+1% +$52K 0.34% 41
2025
Q4
$3.07M Sell
10,099
-260
-3% -$76.3K 0.28% 46
2025
Q3
$2.89M Hold
10,359
0.27% 48
2025
Q2
$2.35M Sell
10,359
-768
-7% -$142K 0.23% 56
2025
Q1
$1.85M Sell
11,127
-616
-5% -$120K 0.2% 68
2024
Q4
$2.32M Sell
11,743
-68
-0.6% -$13.2K 0.24% 64
2024
Q3
$2.05M Buy
11,811
+1,332
+13% +$227K 0.21% 70
2024
Q2
$1.82M Buy
+10,479
New +$1.59M 0.2% 76
2022
Q3
Sell
-7,409
Closed -$606K 218
2022
Q2
$606K Hold
7,409
0.09% 105
2022
Q1
$772K Sell
7,409
-8,723
-54% -$1.02M 0.1% 97
2021
Q4
$1.94M Sell
16,132
-10
-0.1% -$1.17K 0.25% 80
2021
Q3
$1.8M Sell
16,142
-1,177
-7% -$138K 0.26% 76
2021
Q2
$2.08M Sell
17,319
-4,178
-19% -$490K 0.29% 70
2021
Q1
$2.54M Buy
21,497
+852
+4% +$106K 0.37% 61
2020
Q4
$2.25M Sell
20,645
-903
-4% -$85.6K 0.35% 60
2020
Q3
$1.75M Sell
21,548
-1,783
-8% -$135K 0.33% 59
2020
Q2
$1.32M Sell
23,331
-1,213
-5% -$63.9K 0.26% 70
2020
Q1
$1.17M Sell
24,544
-2,676
-10% -$146K 0.28% 64
2019
Q4
$1.58M Sell
27,220
-773
-3% -$41K 0.27% 69
2019
Q3
$1.3M Hold
27,993
0.23% 74
2019
Q2
$1.1M Sell
27,993
-2,075
-7% -$85.4K 0.2% 81
2019
Q1
$1.23M Sell
30,068
-114
-0.4% -$4.35K 0.24% 77
2018
Q4
$1.11M Sell
30,182
-2,249
-7% -$85.6K 0.25% 76
2018
Q3
$1.43M Hold
32,431
0.27% 76
2018
Q2
$1.19M Sell
32,431
-1,500
-4% -$59.3K 0.24% 74
2018
Q1
$1.49M Hold
33,931
0.29% 73
2017
Q4
$1.34M Sell
33,931
-3,074
-8% -$125K 0.26% 74
2017
Q3
$1.39M Sell
37,005
-3,335
-8% -$122K 0.28% 71
2017
Q2
$1.41M Buy
40,340
+6,705
+20% +$232K 0.31% 65
2017
Q1
$1.1M Sell
33,635
-100,905
-75% -$3.15M 0.25% 68
2016
Q4
$3.87M Hold
134,540
0.89% 17
2016
Q3
$4.12M Buy
134,540
+98,410
+272% +$2.81M 0.98% 12
2016
Q2
$948K Buy
36,130
+2,810
+8% +$70.1K 0.26% 63
2016
Q1
$873K Hold
33,320
0.24% 65
2015
Q4
$758K Sell
33,320
-13,298
-29% -$299K 0.22% 72
2015
Q3
$967K Sell
46,618
-114
-0.2% -$2.39K 0.29% 72
2015
Q2
$1.06M Buy
46,732
+4,140
+10% +$98.8K 0.28% 65
2015
Q1
$1M Hold
42,592
0.26% 66
2014
Q4
$953K Sell
42,592
-1,489
-3% -$32.4K 0.26% 68
2014
Q3
$890K Hold
44,081
0.23% 70
2014
Q2
$943K Sell
44,081
-1,011
-2% -$20.8K 0.24% 69
2014
Q1
$903K Sell
45,092
-4,100
-8% -$73.4K 0.25% 69
2013
Q4
$858K Sell
49,192
-5,595
-10% -$99.4K 0.23% 71
2013
Q3
$929K Hold
54,787
0.26% 68
2013
Q2
$1M Buy
+54,787
New +$1.01M 0.29% 68

Other funds holding TSM

Connable Office Inc's TSM Position: Q1 2026 in Review

Connable Office Inc increased its TSMC (TSM) stake by 1.5% in Q1 2026, buying an estimated $52K and bringing the position to 10,250 shares worth $3.46M. The position accounts for 0.34% of the portfolio, ranked #41.

Connable Office Inc first reported a position in TSM in Q2 2013 and has held it in 45 quarters since. The position peaked at $4.12M in Q3 2016. 3,256 funds tracked by Wall St. Rank hold TSM as of Q1 2026.

  • Connable Office Inc held 10,250 shares of TSMC worth $3.46M as of Q1 2026.
  • Connable Office Inc bought 151 TSMC shares in Q1 2026, an estimated $52K.
  • TSMC made up 0.34% of Connable Office Inc's portfolio in Q1 2026, its #41 holding.
  • Connable Office Inc first reported a position in TSMC in Q2 2013 and has held it in 45 quarters since.
  • Connable Office Inc's TSMC position peaked at $4.12M in Q3 2016.
  • 3,256 funds tracked by Wall St. Rank held TSMC as of Q1 2026.

Based on Connable Office Inc's 13F filing for Q1 2026, filed 29 Apr 2026.