Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$124M Sell
365,625
-17,662
-5% -$6.08M 0.15% 113
2025
Q4
$116M Buy
383,287
+651
+0.2% +$191K 0.14% 122
2025
Q3
$107M Buy
382,636
+8,610
+2% +$2.11M 0.13% 129
2025
Q2
$84.7M Buy
374,026
+2,084
+0.6% +$386K 0.11% 140
2025
Q1
$61.7M Sell
371,942
-36,348
-9% -$7.06M 0.08% 171
2024
Q4
$80.6M Buy
408,290
+25,564
+7% +$4.95M 0.11% 141
2024
Q3
$66.5M Sell
382,726
-32,843
-8% -$5.6M 0.09% 168
2024
Q2
$72.2M Buy
415,569
+43,591
+12% +$6.61M 0.1% 156
2024
Q1
$50.6M Sell
371,978
-24,531
-6% -$3.05M 0.07% 188
2023
Q4
$41.2M Buy
396,509
+37,498
+10% +$3.58M 0.06% 199
2023
Q3
$31.2M Sell
359,011
-8,344
-2% -$789K 0.05% 225
2023
Q2
$37.1M Sell
367,355
-14,632
-4% -$1.36M 0.06% 209
2023
Q1
$35.5M Sell
381,987
-2,507
-0.7% -$225K 0.06% 206
2022
Q4
$28.6M Sell
384,494
-17,595
-4% -$1.27M 0.05% 230
2022
Q3
$27.6M Sell
402,089
-34,073
-8% -$2.82M 0.06% 209
2022
Q2
$35.7M Sell
436,162
-22,905
-5% -$2.12M 0.07% 194
2022
Q1
$47.9M Buy
459,067
+18,923
+4% +$2.21M 0.08% 176
2021
Q4
$53M Sell
440,144
-275
-0.1% -$32.2K 0.08% 176
2021
Q3
$49.2M Sell
440,419
-6,856
-2% -$805K 0.09% 173
2021
Q2
$53.7M Sell
447,275
-20,210
-4% -$2.37M 0.1% 167
2021
Q1
$55.3M Sell
467,485
-44,047
-9% -$5.46M 0.11% 157
2020
Q4
$55.8M Sell
511,532
-12,167
-2% -$1.15M 0.12% 153
2020
Q3
$42.5M Sell
523,699
-63,018
-11% -$4.79M 0.1% 166
2020
Q2
$33.3M Sell
586,717
-18,962
-3% -$999K 0.09% 177
2020
Q1
$28.9M Sell
605,679
-11,264
-2% -$616K 0.09% 181
2019
Q4
$35.8M Sell
616,943
-46,117
-7% -$2.45M 0.09% 178
2019
Q3
$30.8M Buy
663,060
+16,713
+3% +$713K 0.08% 198
2019
Q2
$25.3M Buy
646,347
+3,393
+0.5% +$140K 0.07% 216
2019
Q1
$26.3M Sell
642,954
-6,701
-1% -$256K 0.08% 207
2018
Q4
$24M Sell
649,655
-13,038
-2% -$496K 0.08% 203
2018
Q3
$29.3M Sell
662,693
-8,998
-1% -$373K 0.08% 192
2018
Q2
$24.6M Sell
671,691
-13,915
-2% -$550K 0.08% 211
2018
Q1
$30M Sell
685,606
-3,186
-0.5% -$139K 0.09% 183
2017
Q4
$27.3M Buy
688,792
+2,793
+0.4% +$113K 0.08% 196
2017
Q3
$25.8M Sell
685,999
-649
-0.1% -$23.7K 0.08% 199
2017
Q2
$24M Sell
686,648
-33,539
-5% -$1.16M 0.08% 202
2017
Q1
$23.7M Sell
720,187
-32,311
-4% -$1.01M 0.08% 201
2016
Q4
$21.6M Sell
752,498
-96,981
-11% -$2.92M 0.08% 202
2016
Q3
$26M Buy
849,479
+3,519
+0.4% +$101K 0.1% 180
2016
Q2
$22.2M Sell
845,960
-19,451
-2% -$485K 0.08% 196
2016
Q1
$22.7M Sell
865,411
-31,778
-4% -$744K 0.09% 194
2015
Q4
$20.4M Buy
897,189
+11,477
+1% +$258K 0.08% 204
2015
Q3
$18.4M Sell
885,712
-591
-0.1% -$12.4K 0.08% 217
2015
Q2
$20.1M Buy
886,303
+44,684
+5% +$1.07M 0.08% 213
2015
Q1
$19.8M Sell
841,619
-57,734
-6% -$1.36M 0.08% 223
2014
Q4
$20.1M Sell
899,353
-13,581
-1% -$296K 0.08% 212
2014
Q3
$18.4M Sell
912,934
-3,794
-0.4% -$79.1K 0.07% 211
2014
Q2
$19.6M Sell
916,728
-4,628
-0.5% -$95.3K 0.08% 202
2014
Q1
$18.4M Buy
921,356
+151,433
+20% +$2.71M 0.08% 207
2013
Q4
$13.4M Buy
769,923
+83,470
+12% +$1.48M 0.05% 257
2013
Q3
$11.6M Buy
686,453
+73,991
+12% +$1.26M 0.05% 263
2013
Q2
$11.2M Buy
+612,462
New +$11.3M 0.05% 261

Other funds holding TSM

US Bancorp's TSM Position: Q1 2026 in Review

US Bancorp reduced its TSMC (TSM) stake by 4.6% in Q1 2026, selling an estimated $6.08M and leaving 365,625 shares worth $124M. The position accounts for 0.15% of the portfolio, ranked #113.

US Bancorp first reported a position in TSM in Q2 2013 and has held it in 52 quarters since. 3,256 funds tracked by Wall St. Rank hold TSM as of Q1 2026.

  • US Bancorp held 365,625 shares of TSMC worth $124M as of Q1 2026.
  • US Bancorp sold 17,662 TSMC shares in Q1 2026, an estimated $6.08M.
  • TSMC made up 0.15% of US Bancorp's portfolio in Q1 2026, its #113 holding.
  • US Bancorp first reported a position in TSMC in Q2 2013 and has held it in 52 quarters since.
  • 3,256 funds tracked by Wall St. Rank held TSMC as of Q1 2026.

Based on US Bancorp's 13F filing for Q1 2026, filed 15 May 2026.