Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$85.7M Sell
353,583
-81
-0% -$21.9K 2.44% 7
2025
Q4
$105M Sell
353,664
-200
-0.1% -$59.9K 3.13% 5
2025
Q3
$99.8M Buy
353,864
+91
+0% +$23.8K 2.96% 6
2025
Q2
$104M Hold
353,773
3.35% 5
2025
Q1
$88M Buy
353,773
+1,196
+0.3% +$293K 3.1% 7
2024
Q4
$77.5M Buy
352,577
+140
+0% +$31.2K 2.78% 8
2024
Q3
$77.9M Sell
352,437
-1,363
-0.4% -$267K 2.64% 8
2024
Q2
$61.2M Buy
353,800
+2,000
+0.6% +$348K 2.1% 9
2024
Q1
$67.2M Sell
351,800
-27,726
-7% -$5.06M 2.23% 7
2023
Q4
$62.1M Sell
379,526
-6,400
-2% -$967K 2.26% 8
2023
Q3
$54.1M Sell
385,926
-224
-0.1% -$31.9K 2.09% 8
2023
Q2
$51.7M Sell
386,150
-433
-0.1% -$55.9K 2.06% 8
2023
Q1
$50.7M Buy
386,583
+2,248
+0.6% +$301K 2.04% 7
2022
Q4
$54.1M Buy
384,335
+3,187
+0.8% +$440K 2.21% 7
2022
Q3
$45.3M Hold
381,148
1.96% 8
2022
Q2
$53.8M Hold
381,148
2.36% 6
2022
Q1
$49.6M Sell
381,148
-5,673
-1% -$740K 2.04% 10
2021
Q4
$51.7M Sell
386,821
-23,997
-6% -$3.01M 2.21% 8
2021
Q3
$54.6M Sell
410,818
-1,589
-0.4% -$212K 2.52% 6
2021
Q2
$57.8M Sell
412,407
-254
-0.1% -$34.7K 2.65% 5
2021
Q1
$52.6M Sell
412,661
-1,375
-0.3% -$165K 2.49% 6
2020
Q4
$49.8M Sell
414,036
-340
-0.1% -$39.3K 2.67% 5
2020
Q3
$48.2M Sell
414,376
-1,130
-0.3% -$133K 2.97% 5
2020
Q2
$48M Sell
415,506
-6,515
-2% -$757K 2.84% 4
2020
Q1
$44.8M Sell
422,021
-2,032
-0.5% -$257K 3.38% 3
2019
Q4
$54.3M Sell
424,053
-852
-0.2% -$111K 2.79% 4
2019
Q3
$59.1M Sell
424,905
-485
-0.1% -$65.4K 3.1% 3
2019
Q2
$56.1M Sell
425,390
-2,506
-0.6% -$329K 3.06% 4
2019
Q1
$57.7M Sell
427,896
-402
-0.1% -$51.2K 3.12% 3
2018
Q4
$46.5M Sell
428,298
-7,496
-2% -$900K 2.6% 4
2018
Q3
$63M Sell
435,794
-1,211
-0.3% -$169K 2.89% 3
2018
Q2
$58.4M Sell
437,005
-1,350
-0.3% -$188K 2.82% 2
2018
Q1
$64.3M Buy
438,355
+5,697
+1% +$862K 3.42% 2
2017
Q4
$63.5M Sell
432,658
-5
-0% -$727 3.32% 2
2017
Q3
$60M Sell
432,663
-5,916
-1% -$824K 3.7% 2
2017
Q2
$64.5M Buy
438,579
+2,850
+0.7% +$430K 4.41% 2
2017
Q1
$72.5M Buy
435,729
+1,464
+0.3% +$245K 4.45% 2
2016
Q4
$68.9M Sell
434,265
-1,386
-0.3% -$211K 4.19% 2
2016
Q3
$66.2M Sell
435,651
-1,019
-0.2% -$155K 4.86% 2
2016
Q2
$63.4M Buy
436,670
+12
+0% +$1.72K 4.3% 2
2016
Q1
$63.2M Buy
436,658
+157
+0% +$20.1K 3.98% 2
2015
Q4
$57.4M Sell
436,501
-529
-0.1% -$71.1K 3.45% 2
2015
Q3
$60.6M Buy
437,030
+6,889
+2% +$1.02M 3.45% 2
2015
Q2
$66.9M Buy
430,141
+2,039
+0.5% +$328K 3.84% 2
2015
Q1
$65.7M Buy
428,102
+2,296
+0.5% +$348K 3.87% 2
2014
Q4
$65.3M Buy
425,806
+3,243
+0.8% +$516K 3.95% 2
2014
Q3
$76.7M Buy
422,563
+680
+0.2% +$124K 4.43% 2
2014
Q2
$73.1M Buy
421,883
+2,719
+0.6% +$489K 4.63% 2
2014
Q1
$77.1M Buy
419,164
+1,569
+0.4% +$276K 4.43% 2
2013
Q4
$74.9M Buy
417,595
+10,269
+3% +$1.77M 4.28% 2
2013
Q3
$72.1M Buy
407,326
+994
+0.2% +$181K 4.63% 2
2013
Q2
$74.2M Buy
+406,332
New +$79.1M 4.88% 2

Other funds holding IBM

TCTC Holdings's IBM Position: Q1 2026 in Review

TCTC Holdings reduced its IBM (IBM) stake by 0.02% in Q1 2026, selling an estimated $21.9K and leaving 353,583 shares worth $85.7M. The position accounts for 2.44% of the portfolio, ranked #7.

TCTC Holdings first reported a position in IBM in Q2 2013 and has held it in 52 quarters since. The position peaked at $105M in Q4 2025. 3,461 funds tracked by Wall St. Rank hold IBM as of Q1 2026.

  • TCTC Holdings held 353,583 shares of IBM worth $85.7M as of Q1 2026.
  • TCTC Holdings sold 81 IBM shares in Q1 2026, an estimated $21.9K.
  • IBM made up 2.44% of TCTC Holdings's portfolio in Q1 2026, its #7 holding.
  • TCTC Holdings first reported a position in IBM in Q2 2013 and has held it in 52 quarters since.
  • TCTC Holdings's IBM position peaked at $105M in Q4 2025.
  • 3,461 funds tracked by Wall St. Rank held IBM as of Q1 2026.

Based on TCTC Holdings's 13F filing for Q1 2026, filed 7 May 2026.