Mirae Asset Global Investments’s Cintas CTAS Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$39.9M Buy
179,170
+11,727
+7% +$2.61M 0.14% 127
2025
Q1
$34.1M Buy
167,443
+40,790
+32% +$8.3M 0.14% 122
2024
Q4
$23.2M Sell
126,653
-1,311
-1% -$240K 0.09% 164
2024
Q3
$25.9M Buy
127,964
+24,308
+23% +$4.92M 0.11% 141
2024
Q2
$18.4M Sell
103,656
-299,160
-74% -$53.2M 0.09% 152
2024
Q1
$52.7M Sell
402,816
-25,604
-6% -$3.35M 0.11% 179
2023
Q4
$64.5M Buy
428,420
+5,748
+1% +$866K 0.13% 165
2023
Q3
$50.8M Buy
422,672
+87,884
+26% +$10.6M 0.11% 182
2023
Q2
$41.6M Sell
334,788
-12,808
-4% -$1.59M 0.09% 223
2023
Q1
$40.2M Sell
347,596
-4,592
-1% -$531K 0.09% 224
2022
Q4
$39.8M Sell
352,188
-4,448
-1% -$502K 0.1% 220
2022
Q3
$34.6M Sell
356,636
-17,852
-5% -$1.73M 0.09% 236
2022
Q2
$35M Buy
374,488
+51,712
+16% +$4.83M 0.09% 258
2022
Q1
$34.3M Buy
322,776
+79,600
+33% +$8.47M 0.07% 298
2021
Q4
$26.9M Buy
243,176
+46,848
+24% +$5.19M 0.06% 378
2021
Q3
$18.7M Buy
196,328
+43,032
+28% +$4.1M 0.05% 425
2021
Q2
$14.6M Buy
153,296
+34,780
+29% +$3.32M 0.04% 496
2021
Q1
$10.1M Sell
118,516
-18,780
-14% -$1.6M 0.04% 526
2020
Q4
$12.1M Buy
137,296
+26,164
+24% +$2.31M 0.05% 437
2020
Q3
$9.25M Buy
111,132
+11,860
+12% +$987K 0.05% 406
2020
Q2
$6.61M Sell
99,272
-42,764
-30% -$2.85M 0.04% 427
2020
Q1
$6.15M Buy
142,036
+17,964
+14% +$778K 0.05% 384
2019
Q4
$8.35M Buy
124,072
+31,412
+34% +$2.11M 0.05% 391
2019
Q3
$6.21M Buy
92,660
+6,564
+8% +$440K 0.04% 425
2019
Q2
$5.09M Buy
86,096
+28,116
+48% +$1.66M 0.03% 451
2019
Q1
$2.92M Buy
57,980
+2,212
+4% +$112K 0.02% 549
2018
Q4
$2.34M Buy
55,768
+4,960
+10% +$208K 0.02% 573
2018
Q3
$2.51M Buy
50,808
+20,576
+68% +$1.02M 0.02% 595
2018
Q2
$1.4M Buy
30,232
+5,608
+23% +$260K 0.02% 446
2018
Q1
$1.05M Buy
24,624
+1,776
+8% +$75.7K 0.01% 493
2017
Q4
$890K Buy
22,848
+2,672
+13% +$104K 0.01% 497
2017
Q3
$725K Buy
20,176
+4,988
+33% +$179K 0.01% 484
2017
Q2
$475K Buy
15,188
+4,100
+37% +$128K 0.01% 511
2017
Q1
$350K Buy
+11,088
New +$350K 0.01% 526