Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q2
$879K Buy
17,916
+613
+4% +$34.3K 0.01% 242
2026
Q1
$966K Sell
17,303
-300
-2% -$18.6K 0.01% 230
2025
Q4
$1.18M Sell
17,603
-62,271
-78% -$5.21M 0.02% 200
2025
Q3
$10.3M Sell
79,874
-7,937
-9% -$1.14M 0.15% 79
2025
Q2
$15.1M Buy
87,811
+44,134
+101% +$8M 0.24% 68
2025
Q1
$9.65M Sell
43,677
-212
-0.5% -$46.4K 0.17% 79
2024
Q4
$9.02M Sell
43,889
-187
-0.4% -$38.2K 0.15% 82
2024
Q3
$7.92M Sell
44,076
-2,851
-6% -$470K 0.14% 87
2024
Q2
$6.99M Sell
46,927
-56
-0.1% -$8.48K 0.13% 85
2024
Q1
$7.51M Sell
46,983
-1,649
-3% -$240K 0.14% 86
2023
Q4
$6.46M Sell
48,632
-1,391
-3% -$171K 0.13% 93
2023
Q3
$5.65M Sell
50,023
-1,333
-3% -$164K 0.13% 89
2023
Q2
$6.48M Sell
51,356
-353
-0.7% -$41.6K 0.15% 86
2023
Q1
$5.84M Hold
51,709
0.14% 88
2022
Q4
$5.23M Buy
51,709
+2,264
+5% +$225K 0.13% 87
2022
Q3
$4.63M Sell
49,445
-23
-0% -$2.34K 0.13% 97
2022
Q2
$4.4M Sell
49,468
-528
-1% -$51.2K 0.11% 103
2022
Q1
$5.07M Sell
49,996
-1,332
-3% -$135K 0.12% 103
2021
Q4
$5.33M Sell
51,328
-9,740
-16% -$1.01M 0.12% 104
2021
Q3
$6.63M Sell
61,068
-722
-1% -$80.7K 0.16% 88
2021
Q2
$6.61M Sell
61,790
-1,239
-2% -$144K 0.16% 93
2021
Q1
$7.5M Sell
63,029
-7,033
-10% -$807K 0.2% 83
2020
Q4
$7.98M Sell
70,062
-2,292
-3% -$247K 0.22% 82
2020
Q3
$7.46M Sell
72,354
-2,479
-3% -$247K 0.23% 79
2020
Q2
$7.3M Sell
74,833
-22,767
-23% -$2.29M 0.25% 77
2020
Q1
$9.27M Sell
97,600
-37,614
-28% -$4.18M 0.36% 66
2019
Q4
$15.6M Sell
135,214
-5,205
-4% -$575K 0.5% 58
2019
Q3
$14.5M Sell
140,419
-178,446
-56% -$18.2M 0.51% 56
2019
Q2
$29.1M Buy
318,865
+9,818
+3% +$860K 1.04% 35
2019
Q1
$27.3M Buy
309,047
+301,292
+3,885% +$24.9M 1.04% 36
2018
Q4
$570K Sell
7,755
-228,379
-97% -$17.7M 1.67% 21
2018
Q3
$19.5M Sell
236,134
-51,024
-18% -$4.01M 0.87% 44
2018
Q2
$21.3M Buy
287,158
+146,415
+104% +$10.6M 0.91% 42
2018
Q1
$10M Buy
140,743
+121,623
+636% +$8.55M 0.41% 65
2017
Q4
$1.25M Sell
19,120
-200
-1% -$12.9K 0.05% 175
2017
Q3
$1.25M Buy
19,320
+3,334
+21% +$207K 0.05% 173
2017
Q2
$978K Sell
15,986
-150
-0.9% -$9.07K 0.04% 184
2017
Q1
$930K Buy
16,136
+150
+0.9% +$8.42K 0.04% 187
2016
Q4
$850K Sell
15,986
-200
-1% -$10.3K 0.04% 193
2016
Q3
$805K Hold
16,186
0.04% 197
2016
Q2
$880K Buy
16,186
+66
+0.4% +$3.4K 0.04% 187
2016
Q1
$827K Sell
16,120
-200
-1% -$9.48K 0.04% 187
2015
Q4
$746K Hold
16,320
0.04% 195
2015
Q3
$707K Sell
16,320
-200
-1% -$8.65K 0.04% 191
2015
Q2
$684K Sell
16,520
-180
-1% -$7.24K 0.03% 196
2015
Q1
$663K Sell
16,700
-2,426
-13% -$92.5K 0.03% 197
2014
Q4
$679K Buy
19,126
+26
+0.1% +$890 0.03% 202
2014
Q3
$617K Hold
19,100
0.03% 206
2014
Q2
$576K Sell
19,100
-200
-1% -$5.93K 0.03% 211
2014
Q1
$547K Sell
19,300
-1,220
-6% -$34.9K 0.03% 206
2013
Q4
$606K Hold
20,520
0.03% 195
2013
Q3
$518K Sell
20,520
-560
-3% -$13.5K 0.03% 209
2013
Q2
$461K Buy
+21,080
New +$462K 0.03% 215

Other funds holding FISV

HM Payson & Co's FISV Position: Q2 2026 in Review

HM Payson & Co increased its Fiserv Inc (FISV) stake by 3.5% in Q2 2026, buying an estimated $34.3K and bringing the position to 17,916 shares worth $879K. The position accounts for 0.01% of the portfolio, ranked #242.

HM Payson & Co first reported a position in FISV in Q2 2013 and has held it in 53 quarters since. The position peaked at $29.1M in Q2 2019. 802 funds tracked by Wall St. Rank hold FISV as of Q2 2026.

  • HM Payson & Co held 17,916 shares of Fiserv Inc worth $879K as of Q2 2026.
  • HM Payson & Co bought 613 Fiserv Inc shares in Q2 2026, an estimated $34.3K.
  • Fiserv Inc made up 0.01% of HM Payson & Co's portfolio in Q2 2026, its #242 holding.
  • HM Payson & Co first reported a position in Fiserv Inc in Q2 2013 and has held it in 53 quarters since.
  • HM Payson & Co's Fiserv Inc position peaked at $29.1M in Q2 2019.
  • 802 funds tracked by Wall St. Rank held Fiserv Inc as of Q2 2026.

Based on HM Payson & Co's 13F filing for Q2 2026, filed 17 Jul 2026.