Ameriprise Financial »

U.S. Bancorp shares owned by Ameriprise Financial

Quarter-by-quarter ownership of U.S. Bancorp (USB) shares owned by Ameriprise Financial from 13F filings

Historical chart of Ameriprise Financial investment in U.S. Bancorp

Tip: Access up to 7 years of quarterly data

All positions including U.S. Bancorp held by Ameriprise Financial consolidated in one spreadsheet with up to 7 years of data

Download as csvDownload consolidated filings csv Download as ExcelDownload consolidated filings xlsx

Quarterly reported holdings in U.S. Bancorp by Ameriprise Financial

Quarter filed Position value Share count Share price at filing
2025-09-30 $215M 4.4M 48.35
2025-06-30 $194M 4.3M 45.27
2025-03-31 $135M 3.2M 42.25
2024-12-31 $154M 3.2M 47.86
2024-09-30 $149M 3.3M 45.76
2024-06-30 $125M 3.2M 39.73
2024-03-31 $150M 3.3M 44.73
2023-09-30 $112M 3.4M 33.09
2023-06-30 $88M 2.7M 33.08
2023-03-31 $117M 3.2M 36.09
2022-12-31 $705M 16M 43.62
2022-09-30 $667M 17M 40.33
2022-06-30 $644M 14M 46.03
2022-03-31 $827M 16M 53.16
2021-12-31 $874M 16M 56.18
2021-09-30 $795M 13M 59.45
2021-06-30 $743M 13M 56.98
2021-03-31 $690M 13M 55.32
2020-12-31 $476M 10M 46.60
2020-09-30 $301M 8.4M 35.86
2020-06-30 $302M 8.2M 36.83
2020-03-31 $273M 7.9M 34.46
2019-12-31 $400M 6.7M 59.30
2019-09-30 $327M 5.9M 55.36
2019-06-30 $300M 5.7M 52.41
2019-03-31 $267M 5.5M 48.21
2018-12-31 $336M 7.3M 45.71
2018-09-30 $579M 11M 52.91
2018-06-30 $556M 11M 50.03
2018-03-31 $257M 5.1M 50.51
2017-12-31 $270M 5.0M 53.60
2017-09-30 $280M 5.2M 53.61
2017-06-30 $273M 5.3M 51.93
2017-03-31 $263M 5.1M 51.52
2016-12-31 $256M 5.0M 51.39
2016-09-30 $244M 5.7M 42.90
2016-06-30 $191M 4.7M 40.34
2016-03-31 $204M 5.0M 40.60
2015-12-31 $215M 5.0M 42.69
2015-09-30 $184M 4.5M 41.03
2015-06-30 $196M 4.5M 43.42
2015-03-31 $205M 4.7M 43.69
2014-12-31 $271M 6.0M 44.96
2014-09-30 $287M 6.9M 41.84
2014-06-30 $309M 7.1M 43.33
2014-03-31 $293M 6.8M 42.87
2013-12-31 $451M 11M 40.41
2013-09-30 $396M 11M 36.59
2012-06-30 $534M 17M 32.16
2011-06-30 $431M 17M 25.51
2011-03-31 $604M 23M 26.43