CINTAS CORP - COM (CTAS)

Historical Holders from Q1 2014 to Q3 2025

Symbol
CTAS on Nasdaq
Type / Class
Equity / COM
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
249M
Holdings value
$51B
% of all portfolios
0.038%
Grand Portfolio weight change
-0.002%
Number of holders
1441
Number of buys
594
Number of sells
-730
Average Value change %
0%
Average buys %
+0.004%
Average sells %
-0.008%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of CINTAS CORP - COM (CTAS)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 249M $51B -$1.55B $205.26 1,441
2025 Q2 256M $57.1B +$1.21B $222.87 1,499
2025 Q1 251M $51.6B -$553M $205.53 1,451
2024 Q4 255M $46.6B +$290M $182.70 1,375
2024 Q3 252M $51.9B +$34.2B $205.88 1,330
2024 Q2 63.3M $44.3B -$688M $700.26 1,258
2024 Q1 64.2M $44.1B -$57.9M $687.03 1,215
2023 Q4 64.5M $38.9B +$186M $602.66 1,159
2023 Q3 64.1M $30.8B -$349M $481.01 1,038
2023 Q2 64.8M $32.2B +$138M $497.08 1,039
2023 Q1 64.4M $29.8B +$75.7M $462.68 1,004
2022 Q4 64.1M $29B +$81.7M $451.62 993
2022 Q3 63.9M $24.8B +$70M $388.19 907
2022 Q2 63.6M $23.7B -$506M $373.53 889
2022 Q1 65.2M $27.7B -$508M $425.39 910
2021 Q4 66.3M $29.4B +$134M $443.17 957
2021 Q3 65.7M $25B -$311M $380.66 850
2021 Q2 66.4M $25.4B -$330M $382.00 828
2021 Q1 67.2M $22.9B -$52.5M $341.31 854
2020 Q4 67.4M $23.8B -$151M $353.46 853
2020 Q3 67.9M $22.6B +$48.4M $332.83 788
2020 Q2 67.7M $18.1B +$297M $266.36 750
2020 Q1 66.9M $11.6B -$266M $173.22 686
2019 Q4 68M $18.3B -$326M $269.08 777
2019 Q3 69.2M $18.5B -$91.5M $268.10 713
2019 Q2 69.5M $16.5B -$103M $237.29 667
2019 Q1 71.2M $14.4B +$235M $202.11 668
2018 Q4 70.1M $11.8B -$159M $167.99 639
2018 Q3 70.7M $14B -$182M $197.81 652
2018 Q2 71.6M $13.2B -$115M $185.07 622
2018 Q1 72.2M $12.3B +$259M $170.58 594
2017 Q4 71.3M $11.1B -$119M $155.83 585
2017 Q3 71.7M $10.3B +$193M $144.28 554
2017 Q2 70.5M $8.89B -$101M $126.04 526
2017 Q1 72.4M $9.15B +$802M $126.54 516
2016 Q4 71.7M $8.29B +$137M $115.56 525
2016 Q3 70.2M $7.89B -$93.3M $112.60 509
2016 Q2 71.2M $6.99B -$208M $98.13 474
2016 Q1 73.5M $6.59B +$17.3M $89.81 469
2015 Q4 73.5M $6.69B +$23.6M $91.05 469
2015 Q3 73.1M $6.26B -$173M $85.75 442
2015 Q2 75M $6.34B -$413M $84.59 440
2015 Q1 80M $6.53B -$222M $81.63 446
2014 Q4 83.1M $6.52B -$47.8M $78.44 436
2014 Q3 83.5M $5.89B -$47.6M $70.59 396
2014 Q2 84.2M $5.35B -$312M $63.54 372
2014 Q1 88.7M $5.29B -$126M $59.61 384