Wellington Management Group’s Cintas CTAS Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$151M Sell
679,119
-22,712
-3% -$5.06M 0.03% 428
2025
Q1
$144M Sell
701,831
-11,999
-2% -$2.47M 0.03% 430
2024
Q4
$130M Sell
713,830
-65,054
-8% -$11.9M 0.02% 469
2024
Q3
$160M Sell
778,884
-220,632
-22% -$45.4M 0.03% 440
2024
Q2
$175M Sell
999,516
-32,208
-3% -$5.64M 0.03% 414
2024
Q1
$177M Sell
1,031,724
-5,240
-0.5% -$900K 0.03% 409
2023
Q4
$156M Sell
1,036,964
-37,828
-4% -$5.7M 0.03% 446
2023
Q3
$129M Sell
1,074,792
-128
-0% -$15.4K 0.03% 455
2023
Q2
$134M Sell
1,074,920
-3,136
-0.3% -$390K 0.03% 477
2023
Q1
$125M Sell
1,078,056
-77,504
-7% -$8.96M 0.02% 492
2022
Q4
$130M Buy
1,155,560
+84,156
+8% +$9.5M 0.03% 470
2022
Q3
$104M Sell
1,071,404
-144,232
-12% -$14M 0.02% 506
2022
Q2
$114M Sell
1,215,636
-52,468
-4% -$4.9M 0.02% 509
2022
Q1
$135M Buy
1,268,104
+11,784
+0.9% +$1.25M 0.02% 520
2021
Q4
$139M Sell
1,256,320
-9,232
-0.7% -$1.02M 0.02% 547
2021
Q3
$120M Sell
1,265,552
-80,024
-6% -$7.62M 0.02% 576
2021
Q2
$129M Buy
1,345,576
+337,668
+34% +$32.2M 0.02% 564
2021
Q1
$86M Buy
1,007,908
+75,640
+8% +$6.45M 0.02% 659
2020
Q4
$82.4M Buy
932,268
+1,196
+0.1% +$106K 0.02% 640
2020
Q3
$77.5M Sell
931,072
-46,000
-5% -$3.83M 0.02% 578
2020
Q2
$65.1M Sell
977,072
-516,976
-35% -$34.4M 0.01% 630
2020
Q1
$64.7M Sell
1,494,048
-3,855,872
-72% -$167M 0.02% 563
2019
Q4
$360M Sell
5,349,920
-683,732
-11% -$46M 0.08% 261
2019
Q3
$404M Sell
6,033,652
-2,420,684
-29% -$162M 0.09% 228
2019
Q2
$502M Sell
8,454,336
-228,520
-3% -$13.6M 0.11% 205
2019
Q1
$439M Buy
8,682,856
+996,324
+13% +$50.3M 0.1% 215
2018
Q4
$323M Buy
7,686,532
+241,372
+3% +$10.1M 0.08% 249
2018
Q3
$368M Buy
7,445,160
+711,928
+11% +$35.2M 0.08% 257
2018
Q2
$312M Buy
6,733,232
+124,468
+2% +$5.76M 0.07% 285
2018
Q1
$282M Buy
6,608,764
+284,176
+4% +$12.1M 0.06% 300
2017
Q4
$246M Buy
6,324,588
+257,084
+4% +$10M 0.05% 327
2017
Q3
$219M Buy
6,067,504
+1,075,980
+22% +$38.8M 0.05% 338
2017
Q2
$157M Buy
4,991,524
+150,240
+3% +$4.73M 0.04% 378
2017
Q1
$153M Buy
4,841,284
+635,484
+15% +$20.1M 0.04% 382
2016
Q4
$122M Sell
4,205,800
-147,416
-3% -$4.26M 0.03% 432
2016
Q3
$123M Buy
4,353,216
+467,312
+12% +$13.2M 0.03% 430
2016
Q2
$95.3M Buy
3,885,904
+2,309,696
+147% +$56.7M 0.02% 489
2016
Q1
$35.4M Buy
+1,576,208
New +$35.4M 0.01% 763
2014
Q1
Sell
-17,896
Closed -$267K 2155
2013
Q4
$267K Hold
17,896
﹤0.01% 2096
2013
Q3
$229K Sell
17,896
-1,176
-6% -$15K ﹤0.01% 2117
2013
Q2
$217K Buy
+19,072
New +$217K ﹤0.01% 2076