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CTS — CTS CORP

Reported value held$732.98M
Funds holding (latest)42
SectorTechnology
Funds holding (Q2 2026)37
Institutional value$600.10M · 9.42M sh
New / Add / Cut / Exit3 / 16 / 18 / 1
Top-5 / Top-10 concentration68.6% / 82.7%
Institutional holdings change Accumulating +1.5% (+142.00K sh)
Institutional value change Up +36.1%

As of Q2 2026, 37 SEC-registered investment managers reported holding CTS (CTS CORP) in their latest 13F filings, with a combined reported value of $600.10M across 9.42M shares. That is +1.5% by share count (+142.00K shares) versus the previous quarter, while reported value moved +36.1%. Ownership is concentrated: the five largest holders account for 68.6% of reported value and the top ten for 82.7%.

Compared with the prior quarter, 3 opened new positions, 16 added to existing stakes, 18 trimmed, 1 exited entirely. 13F holdings are quarter-end snapshots, so these moves reflect positioning as of Q2 2026, not real-time trading.

CTS is classified in the Technology sector.

All figures on this page are computed from SEC Form 13F quarterly filings. 13F filers disclose long positions of $100,000 or more within 45 days of quarter end; short positions, options overlays and intra-quarter trades are not included, so treat the numbers as a quarterly snapshot of institutional ownership rather than real-time positioning.

FundQuarterSharesValuePortfolio WeightChange
BlackRock Inc history Q2 2026 4.50M $293.47M 0.01% Add
Vanguard Group history Q4 2025 2.74M $117.64M 0.00% Add
Geode Capital Management history Q2 2026 760.91K $49.61M 0.00% Add
Charles Schwab Investment Management history Q2 2026 409.61K $26.70M 0.00% Reduce
Morgan Stanley history Q2 2026 326.84K $21.31M 0.00% Reduce
Northern Trust Corp history Q2 2026 316.89K $20.66M 0.00% Add
Renaissance Technologies history Q2 2026 311.34K $20.30M 0.03% Reduce
Two Sigma Investments history Q2 2026 311.25K $20.29M 0.02% Add
Royce & Associates history Q2 2026 297.65K $19.40M 0.16% Add
BNY Mellon history Q2 2026 225.74K $14.72M 0.00% Reduce
Invesco Ltd history Q2 2026 153.57K $10.01M 0.00% Add
Bank of America Corp history Q2 2026 149.50K $9.75M 0.00% Reduce
Principal Global Investors history Q2 2026 139.35K $9.08M 0.00% Reduce
Janus Henderson Group history Q1 2026 177.01K $8.45M 0.00% Add
Goldman Sachs Group history Q2 2026 129.36K $8.43M 0.00% Reduce
JPMorgan Chase & Co history Q2 2026 126.15K $8.23M 0.00% New
Lazard Asset Management history Q2 2026 115.76K $7.55M 0.01% Add
Millennium Management history Q2 2026 112.86K $7.36M 0.00% Add
Wellington Management Group history Q2 2026 102.75K $6.70M 0.00% Reduce
Norges Bank Investment Management history Q2 2026 98.90K $6.45M 0.00% New

View all 42 fund holders →

New Positions (Q2 2026)

Fully Exited (vs previous quarter)

Fund Position History — shares by quarter (top 20 funds)

FundQ3 2021Q4 2021Q1 2022Q2 2022Q3 2022Q4 2022Q1 2023Q2 2023Q3 2023Q4 2023Q1 2024Q2 2024Q3 2024Q4 2024Q1 2025Q2 2025Q3 2025Q4 2025Q1 2026Q2 2026
BlackRock Inc — — — — — — — — — — — — 4.76M 4.78M 4.68M 4.56M 4.45M 4.39M 4.40M 4.50M
Geode Capital Management 550.87K 555.86K 577.67K 612.54K 624.30K 628.90K 636.00K 652.79K 684.25K 709.78K 739.44K 772.73K 806.18K 693.08K 723.96K 735.00K 733.47K 733.55K 740.06K 760.91K
Charles Schwab Investment Management 307.49K 313.36K 324.02K 329.71K 333.77K 334.57K 335.86K 332.51K 343.24K 351.49K 367.52K 375.93K 385.60K 392.69K 393.32K 408.37K 413.83K 417.23K 425.51K 409.61K
Morgan Stanley 196.89K 200.47K 194.10K 330.89K 346.17K 241.81K 232.59K 232.91K 231.66K 270.04K 262.49K 260.58K 302.73K 315.48K 295.30K 391.04K 346.69K 323.25K 334.81K 326.84K
Northern Trust Corp 743.11K 732.68K 705.47K 384.65K 382.76K 385.51K 386.31K 343.31K 344.59K 336.04K 326.21K 313.51K 307.13K 338.93K 331.57K 323.99K 305.34K 283.38K 295.95K 316.89K
Renaissance Technologies 118.40K 63.60K 70.10K 169.30K 129.30K 124.60K 142.00K 158.20K 146.30K 170.40K 169.30K 170.00K 185.90K 189.94K 214.94K 212.34K 353.83K 312.64K 388.38K 311.34K
Two Sigma Investments — — — — — — — 11.97K — — — — — — — — 93.89K 83.60K 190.31K 311.25K
Royce & Associates 450.86K 443.93K 438.21K 405.71K 364.12K 369.72K 350.55K 317.39K 307.06K 294.82K 296.04K 279.45K 294.51K 290.55K 283.91K 276.01K 277.30K 261.71K 286.49K 297.65K
BNY Mellon 396.64K 368.97K 367.75K 365.16K 368.30K 373.40K 365.15K 352.69K 345.54K 342.74K 325.65K 315.16K 279.62K 282.74K 271.45K 242.55K 231.59K 239.42K 234.08K 225.74K
Invesco Ltd 185.85K 188.35K 183.22K 177.88K 188.10K 171.40K 202.87K 198.73K 171.28K 215.74K 192.27K 128.09K 132.28K 129.83K 122.41K 112.67K 118.05K 124.66K 132.74K 153.57K
Bank of America Corp 209.96K 215.52K 253.10K 232.62K 238.78K 251.49K 286.08K 264.65K 251.62K 239.10K 248.23K 275.52K 197.97K 163.42K 184.10K 232.58K 236.46K 199.98K 215.83K 149.50K
Principal Global Investors 254.31K 246.07K 233.70K 213.50K 202.20K 200.59K 195.83K 183.44K 173.59K 169.89K 175.11K 166.25K 151.01K 155.02K 158.73K 147.97K 142.34K 138.52K 141.33K 139.35K
Goldman Sachs Group 1.47M 1.52M 1.37M 952.59K 433.14K 422.49K 460.77K 499.70K 339.32K 360.43K 200.78K 241.25K 106.70K 194.45K 137.58K 101.34K 127.39K 122.41K 159.20K 129.36K
JPMorgan Chase & Co 15.28K 43.74K 28.99K 48.81K 53.66K 59.24K 34.92K 86.11K 82.09K 70.68K 75.40K 80.18K 78.83K 135.97K 92.69K 69.28K 65.06K 92.47K — 126.15K
Lazard Asset Management 1.61K — — 1.19K 1.29K 4.11K 53.01K 46.67K 41.10K — — — 16.58K 35.05K 30.36K 31.66K 64.48K 66.91K 74.87K 115.76K
Millennium Management 51.00K 20.02K — 110.78K 7.26K 36.11K 18.61K 12.20K 18.30K 17.56K — — 18.99K 13.22K 40.44K 158.49K 86.23K 25.66K 52.27K 112.86K
Wellington Management Group 1.68M 1.61M 1.61M 1.59M 1.25M 1.09M 1.05M 1.13M 1.25M 1.34M 1.21M 737.52K 701.24K 623.95K 499.14K 306.89K 370.44K 395.02K 354.81K 102.75K
Norges Bank Investment Management — — — — — 271.35K — — — 202.55K — 158.22K — 84.19K — — — — — 98.90K
PSP Investments 76.83K 65.64K 60.15K 59.40K 58.41K 58.00K 56.07K 55.98K 38.75K 64.67K 63.87K 67.29K 64.39K 75.08K 95.55K 101.70K 115.02K 100.58K 103.96K 98.23K
Wells Fargo & Co 93.09K 87.53K 78.85K 44.42K 95.83K 87.74K 122.81K 124.28K 115.53K 100.87K 104.33K 104.82K 102.72K 108.53K 108.90K 120.74K 121.90K 129.50K 76.17K 91.26K

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