Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q2
$7.37M Sell
52,789
-4,700
-8% -$475K 0.56% 48
2026
Q1
$2.54M Buy
57,489
+1,100
+2% +$50.4K 0.21% 84
2025
Q4
$2.08M Sell
56,389
-200
-0.4% -$7.55K 0.14% 100
2025
Q3
$1.9M Buy
56,589
+6,200
+12% +$150K 0.12% 108
2025
Q2
$1.13M Sell
50,389
-22,500
-31% -$466K 0.07% 124
2025
Q1
$1.66M Sell
72,889
-7,249
-9% -$159K 0.12% 109
2024
Q4
$1.61M Sell
80,138
-8,851
-10% -$200K 0.1% 119
2024
Q3
$2.02M Buy
88,989
+600
+0.7% +$15K 0.11% 114
2024
Q2
$2.74M Buy
88,389
+10,400
+13% +$341K 0.15% 101
2024
Q1
$3.44M Sell
77,989
-3,700
-5% -$165K 0.19% 96
2023
Q4
$4.1M Sell
81,689
-2,700
-3% -$110K 0.23% 90
2023
Q3
$3M Buy
84,389
+200
+0.2% +$6.97K 0.17% 100
2023
Q2
$2.82M Sell
84,189
-3,000
-3% -$94.2K 0.15% 111
2023
Q1
$2.85M Sell
87,189
-1,958
-2% -$55.5K 0.17% 109
2022
Q4
$2.36M Sell
89,147
-9,642
-10% -$268K 0.13% 113
2022
Q3
$2.55M Sell
98,789
-246,598
-71% -$8.41M 0.16% 107
2022
Q2
$12.9M Buy
345,387
+6,228
+2% +$269K 0.79% 35
2022
Q1
$16.8M Buy
339,159
+17,458
+5% +$865K 0.88% 27
2021
Q4
$16.6M Buy
321,701
+3,153
+1% +$161K 0.84% 34
2021
Q3
$17M Buy
318,548
+29,036
+10% +$1.57M 0.94% 25
2021
Q2
$16.3M Sell
289,512
-61,320
-17% -$3.6M 0.91% 28
2021
Q1
$22.5M Buy
350,832
+13,484
+4% +$804K 1.29% 9
2020
Q4
$16.8M Sell
337,348
-12,388
-4% -$605K 1.01% 14
2020
Q3
$18.1M Buy
349,736
+20,344
+6% +$1.06M 1.17% 13
2020
Q2
$19.7M Buy
329,392
+2,505
+0.8% +$150K 1.38% 10
2020
Q1
$17.7M Sell
326,887
-23,772
-7% -$1.41M 1.45% 10
2019
Q4
$21M Sell
350,659
-17,979
-5% -$1.01M 1.4% 10
2019
Q3
$19M Buy
368,638
+9,673
+3% +$476K 1.35% 10
2019
Q2
$17.2M Buy
358,965
+1,900
+0.5% +$94.2K 1.25% 13
2019
Q1
$19.2M Buy
357,065
+18,760
+6% +$952K 1.44% 9
2018
Q4
$15.9M Sell
338,305
-13,040
-4% -$611K 1.31% 13
2018
Q3
$16.6M Buy
351,345
+25,902
+8% +$1.26M 1.2% 12
2018
Q2
$16.2M Buy
325,443
+22,070
+7% +$1.17M 1.24% 10
2018
Q1
$15.8M Buy
303,373
+6,098
+2% +$290K 1.2% 12
2017
Q4
$13.7M Sell
297,275
-29,073
-9% -$1.27M 1.01% 19
2017
Q3
$12.4M Sell
326,348
-1,897
-0.6% -$67.4K 0.96% 20
2017
Q2
$11.1M Buy
328,245
+25,817
+9% +$924K 0.86% 28
2017
Q1
$10.9M Sell
302,428
-1,145
-0.4% -$41.4K 0.89% 23
2016
Q4
$11M Buy
303,573
+5,650
+2% +$202K 0.94% 20
2016
Q3
$11.2M Sell
297,923
-27,083
-8% -$959K 0.96% 18
2016
Q2
$10.7M Buy
325,006
+3,300
+1% +$103K 0.87% 23
2016
Q1
$10.4M Buy
321,706
+39,300
+14% +$1.21M 0.89% 20
2015
Q4
$9.73M Buy
282,406
+75,300
+36% +$2.55M 0.85% 25
2015
Q3
$6.24M Buy
207,106
+61,050
+42% +$1.77M 0.57% 46
2015
Q2
$4.44M Buy
146,056
+18,500
+15% +$598K 0.37% 65
2015
Q1
$3.99M Buy
+127,556
New +$4.3M 0.31% 70

Other funds holding INTC

Cullinan Associates's INTC Position: Q2 2026 in Review

Cullinan Associates reduced its Intel (INTC) stake by 8.2% in Q2 2026, selling an estimated $475K and leaving 52,789 shares worth $7.37M. The position accounts for 0.56% of the portfolio, ranked #48.

Cullinan Associates first reported a position in INTC in Q1 2015 and has held it in 46 quarters since. The position peaked at $22.5M in Q1 2021. 3,544 funds tracked by Wall St. Rank hold INTC as of Q2 2026.

  • Cullinan Associates held 52,789 shares of Intel worth $7.37M as of Q2 2026.
  • Cullinan Associates sold 4,700 Intel shares in Q2 2026, an estimated $475K.
  • Intel made up 0.56% of Cullinan Associates's portfolio in Q2 2026, its #48 holding.
  • Cullinan Associates first reported a position in Intel in Q1 2015 and has held it in 46 quarters since.
  • Cullinan Associates's Intel position peaked at $22.5M in Q1 2021.
  • 3,544 funds tracked by Wall St. Rank held Intel as of Q2 2026.

Based on Cullinan Associates's 13F filing for Q2 2026, filed 29 Jul 2026.