Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$1.56M Sell
53,689
-1,516
-3% -$40.5K 0.04% 116
2025
Q4
$1.37M Sell
55,205
-4,140
-7% -$105K 0.04% 121
2025
Q3
$1.68M Sell
59,345
-137
-0.2% -$3.89K 0.05% 113
2025
Q2
$1.72M Hold
59,482
0.06% 111
2025
Q1
$1.68M Sell
59,482
-650
-1% -$16.3K 0.06% 108
2024
Q4
$1.37M Sell
60,132
-13
-0% -$293 0.05% 120
2024
Q3
$1.32M Hold
60,145
0.04% 118
2024
Q2
$1.15M Sell
60,145
-1,669
-3% -$29K 0.04% 118
2024
Q1
$1.09M Sell
61,814
-1,800
-3% -$30.7K 0.04% 121
2023
Q4
$1.07M Buy
63,614
+201
+0.3% +$3.17K 0.04% 123
2023
Q3
$952K Sell
63,413
-4,647
-7% -$68.1K 0.04% 123
2023
Q2
$1.09M Sell
68,060
-15,261
-18% -$260K 0.04% 120
2023
Q1
$1.6M Buy
83,321
+295
+0.4% +$5.64K 0.06% 107
2022
Q4
$1.53M Sell
83,026
-3,245
-4% -$58.1K 0.06% 104
2022
Q3
$1.32M Sell
86,271
-525
-0.6% -$9.55K 0.06% 102
2022
Q2
$1.82M Sell
86,796
-46,956
-35% -$936K 0.08% 93
2022
Q1
$2.39M Sell
133,752
-18,619
-12% -$344K 0.1% 91
2021
Q4
$2.83M Sell
152,371
-110,109
-42% -$2.06M 0.12% 87
2021
Q3
$5.36M Sell
262,480
-430,890
-62% -$9.05M 0.25% 76
2021
Q2
$15.1M Sell
693,370
-26,115
-4% -$594K 0.69% 43
2021
Q1
$16.4M Sell
719,485
-2,701
-0.4% -$59.7K 0.78% 37
2020
Q4
$15.7M Sell
722,186
-33,945
-4% -$732K 0.84% 35
2020
Q3
$16.3M Sell
756,131
-2,006
-0.3% -$44.8K 1% 29
2020
Q2
$17.3M Buy
758,137
+10,961
+1% +$250K 1.03% 26
2020
Q1
$16.4M Sell
747,176
-21,380
-3% -$584K 1.24% 21
2019
Q4
$22.7M Buy
768,556
+331
+0% +$9.56K 1.16% 20
2019
Q3
$22M Sell
768,225
-2,466
-0.3% -$65.3K 1.15% 20
2019
Q2
$19.5M Buy
770,691
+64,545
+9% +$1.55M 1.07% 24
2019
Q1
$16.7M Sell
706,146
-13,661
-2% -$314K 0.9% 29
2018
Q4
$15.5M Sell
719,807
-12,286
-2% -$286K 0.87% 30
2018
Q3
$18.6M Sell
732,093
-35,284
-5% -$864K 0.85% 27
2018
Q2
$18.6M Buy
767,377
+13,016
+2% +$327K 0.9% 24
2018
Q1
$20.3M Buy
754,361
+20,323
+3% +$566K 1.08% 22
2017
Q4
$21.6M Buy
734,038
+4,555
+0.6% +$124K 1.13% 21
2017
Q3
$21.6M Buy
729,483
+36,513
+5% +$1.04M 1.33% 21
2017
Q2
$19.7M Sell
692,970
-1,248
-0.2% -$36.8K 1.35% 21
2017
Q1
$21.8M Buy
694,218
+4,369
+0.6% +$137K 1.34% 21
2016
Q4
$22.2M Sell
689,849
-13,541
-2% -$400K 1.35% 17
2016
Q3
$21.6M Buy
703,390
+2,053
+0.3% +$64.9K 1.58% 17
2016
Q2
$22.9M Sell
701,337
-6,904
-1% -$205K 1.55% 14
2016
Q1
$21M Sell
708,241
-7,811
-1% -$216K 1.32% 15
2015
Q4
$18.6M Buy
716,052
+6,519
+0.9% +$165K 1.12% 22
2015
Q3
$17.5M Buy
709,533
+14,432
+2% +$368K 0.99% 23
2015
Q2
$18.6M Buy
695,101
+5,428
+0.8% +$140K 1.07% 20
2015
Q1
$17M Sell
689,673
-8,275
-1% -$210K 1% 27
2014
Q4
$17.7M Buy
697,948
+31,511
+5% +$818K 1.07% 24
2014
Q3
$17.7M Buy
666,437
+28,930
+5% +$770K 1.03% 22
2014
Q2
$17M Buy
637,507
+3,310
+0.5% +$88.7K 1.08% 20
2014
Q1
$16.8M Buy
634,197
+93,937
+17% +$2.36M 0.97% 22
2013
Q4
$14.3M Buy
540,260
+66,664
+14% +$1.75M 0.82% 27
2013
Q3
$12.1M Buy
473,596
+7,282
+2% +$191K 0.78% 28
2013
Q2
$12.5M Buy
+466,314
New +$13M 0.82% 29

Other funds holding T

TCTC Holdings's T Position: Q1 2026 in Review

TCTC Holdings reduced its AT&T (T) stake by 2.7% in Q1 2026, selling an estimated $40.5K and leaving 53,689 shares worth $1.56M. The position accounts for 0.04% of the portfolio, ranked #116.

TCTC Holdings first reported a position in T in Q2 2013 and has held it in 52 quarters since. The position peaked at $22.9M in Q2 2016. 2,962 funds tracked by Wall St. Rank hold T as of Q1 2026.

  • TCTC Holdings held 53,689 shares of AT&T worth $1.56M as of Q1 2026.
  • TCTC Holdings sold 1,516 AT&T shares in Q1 2026, an estimated $40.5K.
  • AT&T made up 0.04% of TCTC Holdings's portfolio in Q1 2026, its #116 holding.
  • TCTC Holdings first reported a position in AT&T in Q2 2013 and has held it in 52 quarters since.
  • TCTC Holdings's AT&T position peaked at $22.9M in Q2 2016.
  • 2,962 funds tracked by Wall St. Rank held AT&T as of Q1 2026.

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