CINTAS CORP FAIRVIEW CAPITAL INVESTMENT MANAGEMENT LLC holding in Form 13-F

CTAS Nasdaq

FAIRVIEW CAPITAL INVESTMENT MANAGEMENT LLC reported holding of CTAS

FAIRVIEW CAPITAL INVESTMENT MANAGEMENT LLC reported holding of CTAS

This chart displays the historical ownership data of CTAS by FAIRVIEW CAPITAL INVESTMENT MANAGEMENT LLC. At the end of Q3 2013 the holding was valued at $19,796,000. This increased to $27,303,427 at the end of Q1 2025.

FAIRVIEW CAPITAL INVESTMENT MANAGEMENT LLC reported holding of CTAS
Date Holding Value
19796000
23198000
23218000
25114000
27786000
30614000
31442000
65154000
31191000
28641000
27669000
11304000
8236000
8129000
8079000
7869000
8831000
9356000
9695000
10187000
10842000
8678000
8678000
9975000
11581000
12936000
12733000
8335000
12378000
15101000
15422000
14333000
16059000
15885000
18263000
17435000
15305000
15889000
17988476
18374873
18993923
18370252
22021196
24603918
25053202
28824023
24790380
27303427

About CINTAS CORP

Cintas provides a range of products and services primarily focused on enhancing customer image and maintaining clean, safe facilities. The company's offerings include uniforms, mats, mops, restroom supplies, first aid and safety products, fire extinguishers, and safety training. Cintas operates mainly in the Uniform Rental and Facility Services segment, which covers rental and servicing of uniforms and related items, as well as restroom cleaning services. Additionally, the First Aid and Safety Services segment provides first aid products and services. Other operations include Fire Protection Services and Uniform Direct Sale.

Cintas operates in the U.S., Canada, and Latin America, serving over one million businesses. The company generates revenue through its two primary segments: Uniform Rental and Facility Services, and First Aid and Safety Services, with a significant portion of its income coming from the Uniform Rental and Facility Services segment. Its client base is diverse, with no single customer accounting for more than one percent of total revenue. Cintas faces competition from various national, regional, and local providers, as well as retailers and online companies.

Cintas's operational structure includes approximately 11,700 local delivery routes, 467 operational facilities, and 12 distribution centers. The company sources finished products from multiple suppliers and operates five manufacturing facilities for standard uniform needs. Key factors impacting Cintas's business performance include market competition, sourcing risks, and operational efficiency. The company derives over 90% of its revenue from U.S. operations.

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FAIRVIEW CAPITAL INVESTMENT MANAGEMENT LLC reported holdings of CTAS from Q3 2013 to Q1 2025

Historical holdings data showing quarterly positions, market values, shares held, and portfolio percentages for CTAS held by FAIRVIEW CAPITAL INVESTMENT MANAGEMENT LLC from Q3 2013 to Q1 2025
FilingExplorer.com
FAIRVIEW CAPITAL INVESTMENT MANAGEMENT LLC reported holdings of CTAS from Q3 2013 to Q1 2025
Reporting period Holding Type Market Value % of portfolio Shares Change in shares % Change in shares
Q3 2013 Stock $19,796,000 1.89% 386,650 650 0.17%
Q4 2013 Stock $23,198,000 2.03% 389,300 2,650 0.69%
Q1 2014 Stock $23,218,000 1.96% 389,500 200 0.05%
Q2 2014 Stock $25,114,000 2.04% 395,248 5,748 1.48%
Q3 2014 Stock $27,786,000 2.25% 393,632 -1,616 -0.41%
Q4 2014 Stock $30,614,000 2.45% 390,282 -3,350 -0.85%
Q1 2015 Stock $31,442,000 2.53% 385,172 -5,110 -1.31%
Q2 2015 Stock $65,154,000 2.7% 770,244 385,072 99.97%
Q3 2015 Stock $31,191,000 2.75% 363,742 -406,502 -52.78%
Q4 2015 Stock $28,641,000 2.43% 314,562 -49,180 -13.52%
Q1 2016 Stock $27,669,000 2.29% 308,086 -6,476 -2.06%
Q2 2016 Stock $11,304,000 0.92% 115,196 -192,890 -62.61%
Q3 2016 Stock $8,236,000 0.63% 73,144 -42,052 -36.5%
Q4 2016 Stock $8,129,000 0.6% 70,344 -2,800 -3.83%
Q1 2017 Stock $8,079,000 0.58% 63,849 -6,495 -9.23%
Q2 2017 Stock $7,869,000 0.52% 62,429 -1,420 -2.22%
Q3 2017 Stock $8,831,000 0.56% 61,204 -1,225 -1.96%
Q4 2017 Stock $9,356,000 0.57% 60,039 -1,165 -1.9%
Q1 2018 Stock $9,695,000 0.61% 56,839 -3,200 -5.33%
Q2 2018 Stock $10,187,000 0.59% 55,044 -1,795 -3.16%
Q3 2018 Stock $10,842,000 0.61% 54,808 -236 -0.43%
Q4 2018 Stock $8,678,000 0.46% 51,658 -3,150 -5.75%
Q4 2018 Stock $8,678,000 0.52% 51,658 -3,150 -5.75%
Q1 2019 Stock $9,975,000 0.53% 49,357 -2,301 -4.45%
Q2 2019 Stock $11,581,000 0.58% 48,807 -550 -1.11%
Q3 2019 Stock $12,936,000 0.64% 48,252 -555 -1.14%
Q4 2019 Stock $12,733,000 0.63% 47,322 -930 -1.93%
Q1 2020 Stock $8,335,000 0.49% 48,122 800 1.69%
Q2 2020 Stock $12,378,000 0.6% 46,472 -1,650 -3.43%
Q3 2020 Stock $15,101,000 0.71% 45,372 -1,100 -2.37%
Q4 2020 Stock $15,422,000 0.63% 43,632 -1,740 -3.83%
Q1 2021 Stock $14,333,000 0.52% 41,997 -1,635 -3.75%
Q2 2021 Stock $16,059,000 1.1% 42,041 44 0.1%
Q3 2021 Stock $15,885,000 1.08% 41,731 -310 -0.74%
Q4 2021 Stock $18,263,000 1.17% 41,211 -520 -1.25%
Q1 2022 Stock $17,435,000 1.09% 40,986 -225 -0.55%
Q2 2022 Stock $15,305,000 1.06% 40,976 -10 -0.02%
Q3 2022 Stock $15,889,000 1.13% 40,931 -45 -0.11%
Q4 2022 Stock $17,988,476 1.23% 39,831 -1,100 -2.69%
Q1 2023 Stock $18,374,873 1.2% 39,714 -117 -0.29%
Q2 2023 Stock $18,993,923 1.2% 38,211 -1,503 -3.78%
Q3 2023 Stock $18,370,252 1.18% 38,191 -20 -0.05%
Q4 2023 Stock $22,021,196 1.31% 36,540 -1,651 -4.32%
Q1 2024 Stock $24,603,918 1.39% 35,812 -728 -1.99%
Q2 2024 Stock $25,053,202 1.41% 35,777 -35 -0.1%
Q3 2024 Stock $28,824,023 1.56% 140,004 104,227 291.32%
Q4 2024 Stock $24,790,380 1.29% 135,689 -4,315 -3.08%
Q1 2025 Stock $27,303,427 1.45% 132,844 -2,845 -2.1%
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