Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q2
$34.8M Sell
72,865
-1,141
-2% -$463K 0.19% 89
2026
Q1
$25M Buy
74,006
+1,657
+2% +$570K 0.15% 109
2025
Q4
$22M Buy
72,349
+4,474
+7% +$1.31M 0.13% 123
2025
Q3
$19M Buy
67,875
+8,331
+14% +$2.04M 0.12% 135
2025
Q2
$13.5M Buy
59,544
+11,612
+24% +$2.15M 0.1% 168
2025
Q1
$7.96M Buy
47,932
+6,255
+15% +$1.22M 0.06% 231
2024
Q4
$8.23M Sell
41,677
-1,294
-3% -$250K 0.07% 216
2024
Q3
$7.46M Buy
42,971
+1,900
+5% +$324K 0.06% 228
2024
Q2
$7.14M Buy
41,071
+3,649
+10% +$554K 0.06% 225
2024
Q1
$5.09M Sell
37,422
-705
-2% -$87.6K 0.05% 298
2023
Q4
$3.97M Buy
38,127
+274
+0.7% +$26.1K 0.04% 329
2023
Q3
$3.29M Buy
37,853
+1,493
+4% +$141K 0.04% 345
2023
Q2
$3.67M Sell
36,360
-1,546
-4% -$144K 0.04% 332
2023
Q1
$3.53M Sell
37,906
-16,126
-30% -$1.45M 0.04% 327
2022
Q4
$4.02M Sell
54,032
-2,135
-4% -$154K 0.05% 293
2022
Q3
$3.85M Sell
56,167
-1,638
-3% -$135K 0.05% 274
2022
Q2
$4.73M Sell
57,805
-3,978
-6% -$368K 0.06% 246
2022
Q1
$6.44M Sell
61,783
-2,504
-4% -$293K 0.07% 220
2021
Q4
$7.74M Buy
64,287
+2,173
+3% +$255K 0.08% 192
2021
Q3
$6.93M Buy
62,114
+1,386
+2% +$163K 0.08% 197
2021
Q2
$7.3M Buy
60,728
+910
+2% +$107K 0.09% 186
2021
Q1
$7.08M Buy
59,818
+49,886
+502% +$6.18M 0.09% 179
2020
Q4
$1.08M Buy
9,932
+1,797
+22% +$170K 0.02% 491
2020
Q3
$660K Sell
8,135
-39
-0.5% -$2.96K 0.01% 556
2020
Q2
$464K Sell
8,174
-49,228
-86% -$2.59M 0.01% 621
2020
Q1
$2.74M Sell
57,402
-2,053
-3% -$112K 0.05% 257
2019
Q4
$3.45M Buy
59,455
+889
+2% +$47.2K 0.06% 256
2019
Q3
$2.72M Buy
58,566
+968
+2% +$41.3K 0.05% 286
2019
Q2
$2.26M Buy
57,598
+10,191
+21% +$420K 0.04% 311
2019
Q1
$1.94M Sell
47,407
-1,361
-3% -$51.9K 0.03% 370
2018
Q4
$1.8M Sell
48,768
-1,627
-3% -$61.9K 0.04% 347
2018
Q3
$2.23M Sell
50,395
-1,378
-3% -$57.1K 0.04% 337
2018
Q2
$1.89M Sell
51,773
-52
-0.1% -$2.06K 0.04% 357
2018
Q1
$2.27M Buy
51,825
+3,919
+8% +$171K 0.05% 304
2017
Q4
$1.9M Buy
47,906
+2,327
+5% +$94.3K 0.04% 334
2017
Q3
$1.71M Buy
45,579
+1,120
+3% +$40.9K 0.03% 390
2017
Q2
$1.55M Buy
44,459
+4,063
+10% +$140K 0.04% 369
2017
Q1
$1.33M Sell
40,396
-11,771
-23% -$368K 0.03% 382
2016
Q4
$1.5M Sell
52,167
-11,392
-18% -$343K 0.03% 387
2016
Q3
$1.94M Buy
63,559
+4,209
+7% +$120K 0.05% 336
2016
Q2
$1.55M Sell
59,350
-444
-0.7% -$11.1K 0.05% 327
2016
Q1
$1.56M Sell
59,794
-791
-1% -$18.5K 0.05% 324
2015
Q4
$1.38M Sell
60,585
-12,472
-17% -$281K 0.04% 338
2015
Q3
$1.51M Buy
73,057
+13,521
+23% +$284K 0.05% 313
2015
Q2
$1.35M Buy
59,536
+20,408
+52% +$487K 0.04% 345
2015
Q1
$918K Buy
39,128
+8,810
+29% +$208K 0.03% 423
2014
Q4
$677K Sell
30,318
-10,194
-25% -$222K 0.02% 498
2014
Q3
$816K Sell
40,512
-29,494
-42% -$615K 0.03% 458
2014
Q2
$1.5M Sell
70,006
-7,474
-10% -$154K 0.05% 326
2014
Q1
$1.55M Buy
77,480
+23,818
+44% +$427K 0.06% 299
2013
Q4
$934K Buy
53,662
+41,707
+349% +$741K 0.03% 419
2013
Q3
$202K Buy
11,955
+2,154
+22% +$36.7K 0.01% 698
2013
Q2
$179K Buy
+9,801
New +$181K 0.01% 703

Other funds holding TSM

D.A. Davidson & Co's TSM Position: Q2 2026 in Review

D.A. Davidson & Co reduced its TSMC (TSM) stake by 1.5% in Q2 2026, selling an estimated $463K and leaving 72,865 shares worth $34.8M. The position accounts for 0.19% of the portfolio, ranked #89.

D.A. Davidson & Co first reported a position in TSM in Q2 2013 and has held it in 53 quarters since. 3,550 funds tracked by Wall St. Rank hold TSM as of Q2 2026.

  • D.A. Davidson & Co held 72,865 shares of TSMC worth $34.8M as of Q2 2026.
  • D.A. Davidson & Co sold 1,141 TSMC shares in Q2 2026, an estimated $463K.
  • TSMC made up 0.19% of D.A. Davidson & Co's portfolio in Q2 2026, its #89 holding.
  • D.A. Davidson & Co first reported a position in TSMC in Q2 2013 and has held it in 53 quarters since.
  • 3,550 funds tracked by Wall St. Rank held TSMC as of Q2 2026.

Based on D.A. Davidson & Co's 13F filing for Q2 2026, filed 24 Jul 2026.