Zacks Investment Management’s Cintas CTAS Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$57.2M Buy
256,662
+1,988
+0.8% +$443K 0.49% 57
2025
Q1
$52.3M Buy
254,674
+11,491
+5% +$2.36M 0.49% 57
2024
Q4
$44.4M Buy
243,183
+30,134
+14% +$5.51M 0.41% 67
2024
Q3
$43.9M Buy
213,049
+15,157
+8% +$3.12M 0.38% 73
2024
Q2
$34.6M Buy
197,892
+17,240
+10% +$3.02M 0.39% 66
2024
Q1
$31M Buy
180,652
+12,072
+7% +$2.07M 0.33% 79
2023
Q4
$25.4M Buy
168,580
+1,256
+0.8% +$189K 0.31% 86
2023
Q3
$20.1M Buy
167,324
+3,884
+2% +$467K 0.26% 99
2023
Q2
$20.3M Buy
163,440
+3,676
+2% +$457K 0.26% 93
2023
Q1
$18.5M Buy
159,764
+5,156
+3% +$596K 0.25% 102
2022
Q4
$17.5M Buy
154,608
+2,636
+2% +$298K 0.24% 94
2022
Q3
$14.7M Sell
151,972
-4,812
-3% -$467K 0.24% 101
2022
Q2
$14.6M Buy
156,784
+8,012
+5% +$748K 0.22% 105
2022
Q1
$15.8M Buy
148,772
+9,552
+7% +$1.02M 0.22% 106
2021
Q4
$15.4M Buy
139,220
+3,808
+3% +$422K 0.22% 115
2021
Q3
$12.9M Buy
135,412
+2,128
+2% +$203K 0.2% 114
2021
Q2
$12.7M Buy
133,284
+4,956
+4% +$473K 0.21% 113
2021
Q1
$11M Sell
128,328
-3,924
-3% -$335K 0.19% 110
2020
Q4
$11.7M Buy
132,252
+364
+0.3% +$32.2K 0.22% 113
2020
Q3
$11M Buy
131,888
+7,360
+6% +$612K 0.22% 109
2020
Q2
$8.29M Sell
124,528
-3,388
-3% -$226K 0.18% 114
2020
Q1
$5.54M Sell
127,916
-3,208
-2% -$139K 0.14% 125
2019
Q4
$8.82M Sell
131,124
-940
-0.7% -$63.2K 0.17% 114
2019
Q3
$8.85M Buy
132,064
+27,012
+26% +$1.81M 0.18% 112
2019
Q2
$6.23M Buy
105,052
+144
+0.1% +$8.54K 0.13% 136
2019
Q1
$5.3M Buy
+104,908
New +$5.3M 0.11% 145
2015
Q4
Sell
-97,212
Closed -$2.08M 578
2015
Q3
$2.08M Buy
97,212
+19,320
+25% +$414K 0.07% 183
2015
Q2
$1.65M Sell
77,892
-18,560
-19% -$392K 0.05% 205
2015
Q1
$1.97M Buy
96,452
+33,308
+53% +$680K 0.06% 187
2014
Q4
$1.24M Buy
63,144
+600
+1% +$11.8K 0.04% 236
2014
Q3
$1.1M Buy
+62,544
New +$1.1M 0.04% 233
2014
Q2
Sell
-432,296
Closed -$6.44M 672
2014
Q1
$6.44M Sell
432,296
-7,820
-2% -$117K 0.24% 126
2013
Q4
$6.56M Sell
440,116
-35,896
-8% -$535K 0.26% 128
2013
Q3
$6.09M Sell
476,012
-27,904
-6% -$357K 0.26% 135
2013
Q2
$5.74M Buy
+503,916
New +$5.74M 0.26% 134