Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$27.6M Buy
495,244
+14,380
+3% +$890K 0.05% 332
2025
Q4
$32.3M Buy
480,864
+24,965
+5% +$2.09M 0.05% 298
2025
Q3
$58.8M Buy
455,899
+27,001
+6% +$3.87M 0.11% 184
2025
Q2
$73.9M Buy
428,898
+26,059
+6% +$4.73M 0.15% 140
2025
Q1
$89M Buy
402,839
+56,018
+16% +$12.3M 0.21% 101
2024
Q4
$71.2M Buy
346,821
+25,256
+8% +$5.16M 0.19% 115
2024
Q3
$57.8M Buy
321,565
+7,640
+2% +$1.26M 0.15% 161
2024
Q2
$46.8M Buy
313,925
+55,177
+21% +$8.35M 0.13% 183
2024
Q1
$41.4M Sell
258,748
-34,312
-12% -$5M 0.14% 178
2023
Q4
$38.9M Buy
293,060
+9,431
+3% +$1.16M 0.14% 160
2023
Q3
$32M Sell
283,629
-67,807
-19% -$8.35M 0.13% 167
2023
Q2
$44.3M Sell
351,436
-82,069
-19% -$9.66M 0.18% 105
2023
Q1
$49M Buy
433,505
+65,122
+18% +$7.16M 0.22% 97
2022
Q4
$37.2M Buy
368,383
+2,162
+0.6% +$215K 0.18% 124
2022
Q3
$34.3M Buy
366,221
+60,861
+20% +$6.2M 0.2% 106
2022
Q2
$27.2M Buy
305,360
+77,684
+34% +$7.53M 0.14% 169
2022
Q1
$23.1M Buy
227,676
+36,535
+19% +$3.7M 0.12% 198
2021
Q4
$19.8M Buy
191,141
+8,163
+4% +$844K 0.08% 227
2021
Q3
$19.9M Sell
182,978
-8,112
-4% -$906K 0.09% 226
2021
Q2
$20.4M Sell
191,090
-271
-0.1% -$31.5K 0.09% 230
2021
Q1
$22.8M Buy
191,361
+1,157
+0.6% +$133K 0.11% 182
2020
Q4
$21.7M Buy
190,204
+10,009
+6% +$1.08M 0.11% 179
2020
Q3
$18.6M Sell
180,195
-6,209
-3% -$618K 0.11% 169
2020
Q2
$18.2M Sell
186,404
-11,981
-6% -$1.21M 0.11% 158
2020
Q1
$18.8M Sell
198,385
-16,336
-8% -$1.81M 0.14% 136
2019
Q4
$24.8M Buy
214,721
+15,645
+8% +$1.73M 0.15% 132
2019
Q3
$20.6M Buy
199,076
+54,036
+37% +$5.52M 0.14% 143
2019
Q2
$13.2M Sell
145,040
-5,697
-4% -$499K 0.09% 215
2019
Q1
$13.3M Sell
150,737
-245
-0.2% -$20.2K 0.09% 225
2018
Q4
$11.1M Sell
150,982
-45,755
-23% -$3.54M 0.08% 245
2018
Q3
$16.2M Sell
196,737
-11,729
-6% -$921K 0.09% 240
2018
Q2
$15.4M Sell
208,466
-3,430
-2% -$249K 0.09% 231
2018
Q1
$15.1M Sell
211,896
-23,760
-10% -$1.67M 0.09% 228
2017
Q4
$15.5M Sell
235,656
-349,668
-60% -$22.6M 0.09% 244
2017
Q3
$37.7M Buy
585,324
+13,030
+2% +$810K 0.2% 124
2017
Q2
$35M Buy
572,294
+8,180
+1% +$495K 0.2% 125
2017
Q1
$32.5M Buy
564,114
+164,966
+41% +$9.26M 0.19% 124
2016
Q4
$21.2M Sell
399,148
-16,730
-4% -$859K 0.13% 186
2016
Q3
$20.7M Buy
415,878
+1,478
+0.4% +$77.5K 0.13% 189
2016
Q2
$22.5M Buy
414,400
+180,888
+77% +$9.31M 0.15% 150
2016
Q1
$12M Sell
233,512
-2,418
-1% -$115K 0.09% 252
2015
Q4
$10.8M Sell
235,930
-3,136
-1% -$147K 0.08% 269
2015
Q3
$10.4M Sell
239,066
-13,682
-5% -$592K 0.09% 258
2015
Q2
$10.5M Sell
252,748
-8,540
-3% -$343K 0.07% 292
2015
Q1
$10.4M Buy
261,288
+55,876
+27% +$2.13M 0.07% 318
2014
Q4
$7.29M Sell
205,412
-1,740
-0.8% -$59.6K 0.06% 370
2014
Q3
$6.7M Sell
207,152
-1,640
-0.8% -$51.8K 0.05% 396
2014
Q2
$6.3M Sell
208,792
-1,860
-0.9% -$55.1K 0.05% 430
2014
Q1
$5.97M Buy
210,652
+4,060
+2% +$116K 0.05% 416
2013
Q4
$6.1M Buy
206,592
+2,296
+1% +$61.9K 0.05% 392
2013
Q3
$5.16M Buy
204,296
+42,824
+27% +$1.04M 0.05% 401
2013
Q2
$3.53M Buy
+161,472
New +$3.54M 0.04% 454

Other funds holding FISV

Aviva's FISV Position: Q1 2026 in Review

Aviva increased its Fiserv Inc (FISV) stake by 3% in Q1 2026, buying an estimated $890K and bringing the position to 495,244 shares worth $27.6M. The position accounts for 0.05% of the portfolio, ranked #332.

Aviva first reported a position in FISV in Q2 2013 and has held it in 52 quarters since. The position peaked at $89M in Q1 2025. 1,259 funds tracked by Wall St. Rank hold FISV as of Q1 2026.

  • Aviva held 495,244 shares of Fiserv Inc worth $27.6M as of Q1 2026.
  • Aviva bought 14,380 Fiserv Inc shares in Q1 2026, an estimated $890K.
  • Fiserv Inc made up 0.05% of Aviva's portfolio in Q1 2026, its #332 holding.
  • Aviva first reported a position in Fiserv Inc in Q2 2013 and has held it in 52 quarters since.
  • Aviva's Fiserv Inc position peaked at $89M in Q1 2025.
  • 1,259 funds tracked by Wall St. Rank held Fiserv Inc as of Q1 2026.

Based on Aviva's 13F filing for Q1 2026, filed 14 May 2026.