Franklin Resources’s Cintas CTAS Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$405M Sell
2,393,882
-186,364
-7% -$35.7M 0.1% 194
2025
Q4
$485M Sell
2,580,246
-36,905
-1% -$6.95M 0.12% 179
2025
Q3
$537M Sell
2,617,151
-96,182
-4% -$20.5M 0.13% 165
2025
Q2
$605M Sell
2,713,333
-13,195
-0.5% -$2.84M 0.16% 144
2025
Q1
$560M Buy
2,726,528
+30,915
+1% +$6.16M 0.16% 143
2024
Q4
$492M Sell
2,695,613
-583,416
-18% -$123M 0.14% 157
2024
Q3
$694M Sell
3,279,029
-317,359
-9% -$61.2M 0.19% 125
2024
Q2
$630M Sell
3,596,388
-499,480
-12% -$85.3M 0.19% 129
2024
Q1
$703M Buy
4,095,868
+341,524
+9% +$52.6M 0.22% 114
2023
Q4
$566M Sell
3,754,344
-161,424
-4% -$21.6M 0.26% 91
2023
Q3
$471M Sell
3,915,768
-208,748
-5% -$26M 0.24% 99
2023
Q2
$513M Sell
4,124,516
-248,796
-6% -$29.2M 0.24% 97
2023
Q1
$506M Sell
4,373,312
-286,476
-6% -$31.6M 0.25% 96
2022
Q4
$526M Sell
4,659,788
-126,444
-3% -$13.7M 0.27% 87
2022
Q3
$464M Sell
4,786,232
-767,368
-14% -$78.4M 0.25% 94
2022
Q2
$519M Sell
5,553,600
-5,736
-0.1% -$559K 0.26% 94
2022
Q1
$591M Sell
5,559,336
-106,596
-2% -$10.4M 0.24% 108
2021
Q4
$628M Sell
5,665,932
-26,836
-0.5% -$2.89M 0.23% 113
2021
Q3
$542M Sell
5,692,768
-79,228
-1% -$7.75M 0.2% 134
2021
Q2
$551M Sell
5,771,996
-56,136
-1% -$4.98M 0.21% 129
2021
Q1
$497M Sell
5,828,132
-112,676
-2% -$9.53M 0.2% 139
2020
Q4
$525M Buy
5,940,808
+11,352
+0.2% +$986K 0.22% 122
2020
Q3
$493M Sell
5,929,456
-91,560
-2% -$7.06M 0.24% 105
2020
Q2
$436M Sell
6,021,016
-76,212
-1% -$4.41M 0.23% 120
2020
Q1
$264M Sell
6,097,228
-849,920
-12% -$55.5M 0.18% 155
2019
Q4
$467M Sell
6,947,148
-115,528
-2% -$7.6M 0.25% 106
2019
Q3
$473M Sell
7,062,676
-11,516
-0.2% -$737K 0.26% 104
2019
Q2
$420M Buy
7,074,192
+136,324
+2% +$7.54M 0.22% 118
2019
Q1
$351M Sell
6,937,868
-22,540
-0.3% -$1.09M 0.19% 139
2018
Q4
$292M Sell
6,960,408
-75,328
-1% -$3.37M 0.18% 162
2018
Q3
$348M Sell
7,035,736
-91,636
-1% -$4.74M 0.17% 158
2018
Q2
$330M Sell
7,127,372
-45,560
-0.6% -$2.05M 0.17% 156
2018
Q1
$306M Sell
7,172,932
-27,052
-0.4% -$1.12M 0.16% 173
2017
Q4
$280M Sell
7,199,984
-1,692
-0% -$64.3K 0.13% 191
2017
Q3
$260M Sell
7,201,676
-1,616
-0% -$53.8K 0.13% 200
2017
Q2
$227M Buy
7,203,292
+13,524
+0.2% +$421K 0.11% 209
2017
Q1
$227M Buy
7,189,768
+26,960
+0.4% +$798K 0.12% 205
2016
Q4
$207M Buy
7,162,808
+1,604
+0% +$45K 0.11% 212
2016
Q3
$202M Sell
7,161,204
-4,800
-0.1% -$131K 0.11% 220
2016
Q2
$176M Sell
7,166,004
-19,360
-0.3% -$446K 0.09% 239
2016
Q1
$161M Buy
7,185,364
+84,796
+1% +$1.82M 0.09% 249
2015
Q4
$162M Sell
7,100,568
-54,896
-0.8% -$1.25M 0.08% 245
2015
Q3
$153M Sell
7,155,464
-9,996
-0.1% -$215K 0.08% 266
2015
Q2
$152M Buy
7,165,460
+11,232
+0.2% +$236K 0.07% 294
2015
Q1
$146M Sell
7,154,228
-73,200
-1% -$1.48M 0.07% 293
2014
Q4
$142M Buy
7,227,428
+10,800
+0.1% +$195K 0.06% 293
2014
Q3
$127M Buy
7,216,628
+2,800
+0% +$45.6K 0.06% 308
2014
Q2
$115M Buy
7,213,828
+8,400
+0.1% +$127K 0.05% 350
2014
Q1
$107M Sell
7,205,428
-428
-0% -$6.32K 0.05% 357
2013
Q4
$107M Buy
7,205,856
+428
+0% +$5.81K 0.05% 349
2013
Q3
$92.2M Sell
7,205,428
-30,000
-0.4% -$364K 0.05% 371
2013
Q2
$82.4M Buy
+7,235,428
New +$81.6M 0.05% 377

Other funds holding CTAS