Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$758K Sell
5,156
-32
-0.6% -$5.2K 0.26% 81
2025
Q4
$1.01M Sell
5,188
-85
-2% -$20.2K 0.34% 69
2025
Q3
$1.48M Sell
5,273
-460
-8% -$117K 0.52% 39
2025
Q2
$1.25M Buy
5,733
+470
+9% +$75.9K 0.44% 57
2025
Q1
$736K Sell
5,263
-170
-3% -$27.7K 0.27% 85
2024
Q4
$905K Sell
5,433
-100
-2% -$17.8K 0.33% 77
2024
Q3
$943K Sell
5,533
-100
-2% -$14.5K 0.33% 76
2024
Q2
$795K Hold
5,633
0.3% 79
2024
Q1
$708K Sell
5,633
-50
-0.9% -$5.72K 0.26% 91
2023
Q4
$599K Buy
5,683
+193
+4% +$21.1K 0.24% 95
2023
Q3
$582K Sell
5,490
-375
-6% -$43.4K 0.26% 93
2023
Q2
$698K Sell
5,865
-2,078
-26% -$215K 0.3% 88
2023
Q1
$738K Sell
7,943
-200
-2% -$17.5K 0.33% 82
2022
Q4
$666K Buy
8,143
+200
+3% +$15.2K 0.31% 85
2022
Q3
$485K Buy
7,943
+550
+7% +$40.3K 0.26% 98
2022
Q2
$517K Buy
7,393
+146
+2% +$10.7K 0.27% 102
2022
Q1
$600K Sell
7,247
-250
-3% -$20.2K 0.28% 96
2021
Q4
$654K Sell
7,497
-274
-4% -$25.7K 0.3% 87
2021
Q3
$677K Sell
7,771
-100
-1% -$8.83K 0.34% 75
2021
Q2
$613K Buy
7,871
+250
+3% +$19.6K 0.31% 87
2021
Q1
$535K Sell
7,621
-480
-6% -$31.1K 0.29% 95
2020
Q4
$524K Sell
8,101
-450
-5% -$26.8K 0.3% 91
2020
Q3
$510K Sell
8,551
-688
-7% -$39.1K 0.33% 83
2020
Q2
$511K Sell
9,239
-300
-3% -$15.9K 0.35% 81
2020
Q1
$461K Sell
9,539
-4,950
-34% -$255K 0.36% 79
2019
Q4
$768K Sell
14,489
-300
-2% -$16.5K 0.47% 60
2019
Q3
$814K Sell
14,789
-318
-2% -$17.6K 0.52% 57
2019
Q2
$861K Sell
15,107
-71
-0.5% -$3.84K 0.6% 47
2019
Q1
$815K Sell
15,178
-1,550
-9% -$79K 0.59% 49
2018
Q4
$755K Hold
16,728
0.62% 49
2018
Q3
$862K Buy
16,728
+414
+3% +$20.1K 0.61% 48
2018
Q2
$719K Buy
16,314
+4,356
+36% +$201K 0.65% 42
2018
Q1
$547K Sell
11,958
-642
-5% -$31.9K 0.49% 56
2017
Q4
$595K Sell
12,600
-470
-4% -$23.1K 0.52% 55
2017
Q3
$632K Sell
13,070
-175
-1% -$8.71K 0.59% 48
2017
Q2
$664K Sell
13,245
-80
-0.6% -$3.65K 0.65% 45
2017
Q1
$595K Sell
13,325
-273
-2% -$11.4K 0.57% 54
2016
Q4
$523K Buy
+13,598
New +$532K 0.52% 57

Other funds holding ORCL

LCNB Corp's ORCL Position: Q1 2026 in Review

LCNB Corp reduced its Oracle (ORCL) stake by 0.62% in Q1 2026, selling an estimated $5.2K and leaving 5,156 shares worth $758K. The position accounts for 0.26% of the portfolio, ranked #81.

LCNB Corp first reported a position in ORCL in Q4 2016 and has held it in 38 quarters since. The position peaked at $1.48M in Q3 2025. 3,471 funds tracked by Wall St. Rank hold ORCL as of Q1 2026.

  • LCNB Corp held 5,156 shares of Oracle worth $758K as of Q1 2026.
  • LCNB Corp sold 32 Oracle shares in Q1 2026, an estimated $5.2K.
  • Oracle made up 0.26% of LCNB Corp's portfolio in Q1 2026, its #81 holding.
  • LCNB Corp first reported a position in Oracle in Q4 2016 and has held it in 38 quarters since.
  • LCNB Corp's Oracle position peaked at $1.48M in Q3 2025.
  • 3,471 funds tracked by Wall St. Rank held Oracle as of Q1 2026.

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