Parkside Financial Bank & Trust’s Cintas CTAS Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$351K Buy
1,574
+104
+7% +$23.2K 0.04% 310
2025
Q1
$302K Buy
1,470
+110
+8% +$22.6K 0.04% 304
2024
Q4
$248K Sell
1,360
-29
-2% -$5.3K 0.03% 341
2024
Q3
$286K Sell
1,389
-95
-6% -$19.6K 0.04% 297
2024
Q2
$260K Buy
1,484
+48
+3% +$8.4K 0.04% 298
2024
Q1
$247K Buy
1,436
+240
+20% +$41.2K 0.04% 306
2023
Q4
$180K Buy
1,196
+484
+68% +$72.9K 0.03% 337
2023
Q3
$85.6K Buy
712
+88
+14% +$10.6K 0.02% 456
2023
Q2
$77.5K Sell
624
-40
-6% -$4.97K 0.02% 483
2023
Q1
$76.8K Buy
664
+12
+2% +$1.39K 0.02% 460
2022
Q4
$73.6K Sell
652
-12
-2% -$1.36K 0.02% 454
2022
Q3
$64K Sell
664
-4
-0.6% -$386 0.02% 447
2022
Q2
$63K Buy
668
+4
+0.6% +$377 0.02% 454
2022
Q1
$70K Buy
664
+36
+6% +$3.8K 0.02% 434
2021
Q4
$70K Sell
628
-4
-0.6% -$446 0.02% 435
2021
Q3
$60K Buy
632
+252
+66% +$23.9K 0.02% 455
2021
Q2
$36K Buy
380
+36
+10% +$3.41K 0.01% 596
2021
Q1
$30K Sell
344
-176
-34% -$15.3K 0.01% 642
2020
Q4
$46K Buy
520
+12
+2% +$1.06K 0.01% 481
2020
Q3
$42K Buy
508
+180
+55% +$14.9K 0.01% 444
2020
Q2
$22K Buy
328
+64
+24% +$4.29K 0.01% 613
2020
Q1
$11K Sell
264
-84
-24% -$3.5K ﹤0.01% 695
2019
Q4
$23K Buy
348
+4
+1% +$264 0.01% 618
2019
Q3
$23K Sell
344
-20
-5% -$1.34K 0.01% 576
2019
Q2
$22K Buy
364
+8
+2% +$484 0.01% 608
2019
Q1
$18K Sell
356
-68
-16% -$3.44K 0.01% 634
2018
Q4
$18K Buy
424
+72
+20% +$3.06K 0.01% 590
2018
Q3
$17K Buy
352
+56
+19% +$2.71K 0.01% 642
2018
Q2
$13K Buy
296
+4
+1% +$176 ﹤0.01% 693
2018
Q1
$12K Hold
292
﹤0.01% 685
2017
Q4
$11K Buy
292
+124
+74% +$4.67K ﹤0.01% 709
2017
Q3
$6K Hold
168
﹤0.01% 822
2017
Q2
$6K Sell
168
-344
-67% -$12.3K ﹤0.01% 827
2017
Q1
$16K Hold
512
0.01% 586
2016
Q4
$15K Buy
512
+60
+13% +$1.76K 0.01% 593
2016
Q3
$13K Sell
452
-108
-19% -$3.11K 0.01% 656
2016
Q2
$14K Sell
560
-92
-14% -$2.3K 0.01% 610
2016
Q1
$15K Buy
652
+56
+9% +$1.29K 0.01% 575
2015
Q4
$14K Hold
596
0.01% 594
2015
Q3
$13K Buy
+596
New +$13K 0.01% 575