Back to NORTHERN TRUST CORP NORTHERN TRUST CORP

QCRHQCRH
29 quarters

Position history for NORTHERN TRUST CORPNORTHERN TRUST CORP's holdings in QCR HLDGS INC

NORTHERN TRUST CORP holds 173,258 shares of QCRH (QCR HLDGS INC), worth $14.8M as of 2026-Q1. The position was increased (+3.6% shares). QCRH represents 0.0% of NORTHERN TRUST CORP's portfolio.

Current Value

$14.8M

Current Shares

173,258

Total Value Change

+$8.9M

Total Shares Change

-1,899

Quarter-by-Quarter History
QuarterActionSharesChangeValueWeightPriceConviction
2026-Q1
Latest
Increased
173,258
+3.6%
$14.8M0.0%$87.92
29
2025-Q4
Decreased
167,263
-0.2%
$13.9M0.0%$82.79
0
2025-Q3
Increased
167,575
+14.6%
$12.7M0.0%$75.92
32
2025-Q2
Decreased
146,276
-0.1%
$9.9M0.0%$67.86
0
2025-Q1
Decreased
146,357
-4.8%
$10.4M0.0%$71.79
0
2024-Q4
Increased
153,658
+4.2%
$12.4M0.0%$80.40
29
2024-Q3
Decreased
147,467
-7.5%
$10.9M0.0%$72.05
0
2024-Q2
Increased
159,483
+6.5%
$9.6M0.0%$59.72
29
2024-Q1
Decreased
149,757
-16.5%
$9.1M0.0%$60.39
0
2023-Q4
Increased
179,391
+2.5%
$10.5M0.0%$57.99
28
2023-Q3
Increased
174,987
+0.2%
$8.5M0.0%$48.14
27
2023-Q2
Decreased
174,615
-0.3%
$7.2M0.0%$41.62
0
2023-Q1
Decreased
175,152
-1.0%
$7.7M0.0%$42.85
0
2022-Q4
Decreased
176,990
-1.1%
$8.8M0.0%$49.06
0
2022-Q3
Decreased
178,991
-2.1%
$9.1M0.0%$50.54
0
2022-Q2
Increased
182,826
+6.6%
$9.9M0.0%$53.40
30
2022-Q1
Decreased
171,574
-5.5%
$9.7M0.0%$56.60
0
2021-Q4
Increased
181,640
+0.1%
$10.2M0.0%$54.90
28
2021-Q3
Decreased
181,430
-3.7%
$9.3M0.0%$51.37
0
2021-Q2
Increased
188,335
+0.8%
$9.1M0.0%$47.29
28
2021-Q1
Decreased
186,814
-16.5%
$8.8M0.0%$46.55
0
2020-Q4
Decreased
223,683
-7.8%
$8.9M0.0%$38.56
0
2020-Q3
Decreased
242,742
-3.4%
$6.7M0.0%$26.54
0
2020-Q2
Increased
251,181
+29.2%
$7.8M0.0%$29.33
34
2020-Q1
Decreased
194,452
-0.3%
$5.3M0.0%$26.78
0
2019-Q4
Decreased
195,106
-2.2%
$8.6M0.0%$42.82
0
2019-Q3
Increased
199,516
+11.6%
$7.6M0.0%$36.86
31
2019-Q2
Increased
178,709
+2.0%
$6.2M0.0%$33.77
28
2019-Q1
New
175,157
-
$5.9M0.0%$32.80
38

Other major holders of QCRH: BlackRock, Inc.

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