Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q2
$34.5M Sell
202,661
-2,659
-1% -$460K 0.04% 251
2026
Q1
$34.7M Sell
205,320
-1,754
-0.8% -$336K 0.04% 241
2025
Q4
$38.9M Sell
207,074
-5,459
-3% -$1.03M 0.05% 227
2025
Q3
$43.6M Sell
212,533
-1,572
-0.7% -$336K 0.05% 220
2025
Q2
$47.7M Sell
214,105
-2,126
-1% -$458K 0.06% 206
2025
Q1
$44.4M Sell
216,231
-3,239
-1% -$645K 0.06% 207
2024
Q4
$40.1M Sell
219,470
-2,929
-1% -$616K 0.05% 215
2024
Q3
$45.8M Sell
222,399
-3,849
-2% -$743K 0.06% 206
2024
Q2
$39.6M Sell
226,248
-3,976
-2% -$679K 0.05% 216
2024
Q1
$39.5M Sell
230,224
-7,692
-3% -$1.18M 0.06% 218
2023
Q4
$35.9M Sell
237,916
-124
-0.1% -$16.6K 0.05% 217
2023
Q3
$28.6M Sell
238,040
-1,072
-0.4% -$133K 0.05% 241
2023
Q2
$29.7M Sell
239,112
-7,888
-3% -$926K 0.05% 237
2023
Q1
$28.6M Sell
247,000
-7,056
-3% -$778K 0.05% 243
2022
Q4
$28.7M Sell
254,056
-16,120
-6% -$1.74M 0.05% 228
2022
Q3
$26.2M Sell
270,176
-11,608
-4% -$1.19M 0.05% 215
2022
Q2
$26.3M Sell
281,784
-3,488
-1% -$340K 0.05% 225
2022
Q1
$30.3M Sell
285,272
-26,780
-9% -$2.61M 0.05% 226
2021
Q4
$34.6M Buy
312,052
+1,740
+0.6% +$187K 0.05% 219
2021
Q3
$29.5M Sell
310,312
-3,348
-1% -$328K 0.06% 222
2021
Q2
$30M Buy
313,660
+816
+0.3% +$72.3K 0.06% 223
2021
Q1
$26.7M Buy
312,844
+1,688
+0.5% +$143K 0.05% 238
2020
Q4
$27.5M Sell
311,156
-2,408
-0.8% -$209K 0.06% 225
2020
Q3
$26.1M Sell
313,564
-17,328
-5% -$1.34M 0.06% 227
2020
Q2
$22M Buy
330,892
+14,404
+5% +$833K 0.06% 235
2020
Q1
$13.7M Sell
316,488
-2,340
-0.7% -$153K 0.04% 274
2019
Q4
$21.4M Sell
318,828
-3,936
-1% -$259K 0.05% 243
2019
Q3
$21.6M Sell
322,764
-18,088
-5% -$1.16M 0.06% 239
2019
Q2
$20.2M Buy
340,852
+28,800
+9% +$1.59M 0.06% 247
2019
Q1
$15.8M Buy
312,052
+4,604
+1% +$223K 0.05% 288
2018
Q4
$12.9M Buy
307,448
+5,468
+2% +$244K 0.04% 295
2018
Q3
$14.9M Buy
301,980
+52
+0% +$2.69K 0.04% 291
2018
Q2
$14M Buy
301,928
+6,844
+2% +$308K 0.04% 295
2018
Q1
$12.6M Buy
295,084
+16,032
+6% +$665K 0.04% 310
2017
Q4
$10.9M Sell
279,052
-3,112
-1% -$118K 0.03% 333
2017
Q3
$10.2M Sell
282,164
-5,888
-2% -$196K 0.03% 343
2017
Q2
$9.08M Sell
288,052
-13,696
-5% -$426K 0.03% 358
2017
Q1
$9.55M Sell
301,748
-2,644
-0.9% -$78.2K 0.03% 344
2016
Q4
$8.79M Buy
304,392
+18,856
+7% +$529K 0.03% 352
2016
Q3
$8.04M Sell
285,536
-14,972
-5% -$410K 0.03% 368
2016
Q2
$7.37M Sell
300,508
-16,928
-5% -$390K 0.03% 381
2016
Q1
$7.13M Buy
317,436
+12,512
+4% +$268K 0.03% 380
2015
Q4
$6.94M Buy
304,924
+7,128
+2% +$162K 0.03% 390
2015
Q3
$6.38M Buy
297,796
+11,112
+4% +$238K 0.03% 401
2015
Q2
$6.06M Buy
286,684
+28,676
+11% +$602K 0.02% 421
2015
Q1
$5.27M Buy
258,008
+17,712
+7% +$359K 0.02% 446
2014
Q4
$4.71M Sell
240,296
-672
-0.3% -$12.1K 0.02% 454
2014
Q3
$4.25M Sell
240,968
-35,040
-13% -$571K 0.02% 457
2014
Q2
$4.38M Buy
276,008
+15,588
+6% +$236K 0.02% 463
2014
Q1
$3.88M Buy
260,420
+20,040
+8% +$296K 0.02% 488
2013
Q4
$3.58M Buy
240,380
+5,916
+3% +$80.3K 0.01% 488
2013
Q3
$3M Buy
234,464
+10,836
+5% +$131K 0.01% 513
2013
Q2
$2.55M Buy
+223,628
New +$2.52M 0.01% 535

Other funds holding CTAS

US Bancorp's CTAS Position: Q2 2026 in Review

US Bancorp reduced its Cintas (CTAS) stake by 1.3% in Q2 2026, selling an estimated $460K and leaving 202,661 shares worth $34.5M. The position accounts for 0.04% of the portfolio, ranked #251.

US Bancorp first reported a position in CTAS in Q2 2013 and has held it in 53 quarters since. The position peaked at $47.7M in Q2 2025. 1,426 funds tracked by Wall St. Rank hold CTAS as of Q2 2026.

  • US Bancorp held 202,661 shares of Cintas worth $34.5M as of Q2 2026.
  • US Bancorp sold 2,659 Cintas shares in Q2 2026, an estimated $460K.
  • Cintas made up 0.04% of US Bancorp's portfolio in Q2 2026, its #251 holding.
  • US Bancorp first reported a position in Cintas in Q2 2013 and has held it in 53 quarters since.
  • US Bancorp's Cintas position peaked at $47.7M in Q2 2025.
  • 1,426 funds tracked by Wall St. Rank held Cintas as of Q2 2026.

Based on US Bancorp's 13F filing for Q2 2026, filed 12 Aug 2026.