Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$1.36M Buy
17,495
+2,191
+14% +$172K 0.46% 48
2025
Q4
$1.18M Sell
15,304
-260
-2% -$19.3K 0.4% 58
2025
Q3
$1.06M Sell
15,564
-1,490
-9% -$102K 0.37% 64
2025
Q2
$1.18M Sell
17,054
-150
-0.9% -$9.22K 0.42% 60
2025
Q1
$1.06M Buy
17,204
+149
+0.9% +$9.17K 0.39% 64
2024
Q4
$1.01M Sell
17,055
-400
-2% -$22.8K 0.37% 68
2024
Q3
$929K Sell
17,455
-450
-3% -$21.9K 0.33% 77
2024
Q2
$851K Sell
17,905
-453
-2% -$21.5K 0.32% 75
2024
Q1
$916K Buy
18,358
+1,226
+7% +$61.2K 0.33% 75
2023
Q4
$866K Buy
17,132
+725
+4% +$37K 0.34% 74
2023
Q3
$882K Sell
16,407
-1,100
-6% -$59.4K 0.39% 68
2023
Q2
$906K Buy
17,507
+2,260
+15% +$111K 0.39% 70
2023
Q1
$797K Sell
15,247
-35
-0.2% -$1.71K 0.36% 78
2022
Q4
$728K Sell
15,282
-620
-4% -$28.2K 0.34% 79
2022
Q3
$636K Sell
15,902
-966
-6% -$42.9K 0.35% 80
2022
Q2
$719K Sell
16,868
-20
-0.1% -$957 0.37% 77
2022
Q1
$942K Sell
16,888
-850
-5% -$48.1K 0.44% 64
2021
Q4
$1.12M Buy
17,738
+262
+1% +$15K 0.51% 55
2021
Q3
$951K Buy
17,476
+2,100
+14% +$118K 0.48% 61
2021
Q2
$815K Buy
15,376
+600
+4% +$31.6K 0.41% 68
2021
Q1
$764K Sell
14,776
-300
-2% -$14.1K 0.42% 68
2020
Q4
$675K Sell
15,076
-550
-4% -$22.6K 0.38% 72
2020
Q3
$616K Sell
15,626
-639
-4% -$27.9K 0.4% 70
2020
Q2
$759K Hold
16,265
0.51% 62
2020
Q1
$639K Buy
16,265
+950
+6% +$41.7K 0.5% 63
2019
Q4
$735K Buy
15,315
+122
+0.8% +$5.67K 0.45% 61
2019
Q3
$751K Buy
15,193
+1,524
+11% +$79.2K 0.48% 60
2019
Q2
$748K Sell
13,669
-54
-0.4% -$2.98K 0.53% 57
2019
Q1
$741K Sell
13,723
-150
-1% -$7.29K 0.54% 58
2018
Q4
$601K Sell
13,873
-37
-0.3% -$1.69K 0.5% 58
2018
Q3
$677K Sell
13,910
-1,230
-8% -$55.3K 0.48% 62
2018
Q2
$651K Buy
15,140
+2,023
+15% +$88.4K 0.59% 48
2018
Q1
$563K Sell
13,117
-801
-6% -$34K 0.51% 55
2017
Q4
$533K Sell
13,918
-2,704
-16% -$96.6K 0.47% 63
2017
Q3
$559K Sell
16,622
-2,352
-12% -$74.9K 0.52% 56
2017
Q2
$593K Sell
18,974
-832
-4% -$27.1K 0.58% 52
2017
Q1
$670K Sell
19,806
-743
-4% -$24.1K 0.64% 46
2016
Q4
$621K Buy
+20,549
New +$626K 0.61% 48

Other funds holding CSCO

LCNB Corp's CSCO Position: Q1 2026 in Review

LCNB Corp increased its Cisco (CSCO) stake by 14% in Q1 2026, buying an estimated $172K and bringing the position to 17,495 shares worth $1.36M. The position accounts for 0.46% of the portfolio, ranked #48.

LCNB Corp first reported a position in CSCO in Q4 2016 and has held it in 38 quarters since. 3,715 funds tracked by Wall St. Rank hold CSCO as of Q1 2026.

  • LCNB Corp held 17,495 shares of Cisco worth $1.36M as of Q1 2026.
  • LCNB Corp bought 2,191 Cisco shares in Q1 2026, an estimated $172K.
  • Cisco made up 0.46% of LCNB Corp's portfolio in Q1 2026, its #48 holding.
  • LCNB Corp first reported a position in Cisco in Q4 2016 and has held it in 38 quarters since.
  • 3,715 funds tracked by Wall St. Rank held Cisco as of Q1 2026.

Based on LCNB Corp's 13F filing for Q1 2026, filed 11 May 2026.