Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$68.3M Sell
393,705
-18,629
-5% -$3.35M 0.11% 177
2025
Q4
$76.5M Sell
412,334
-515,431
-56% -$96.3M 0.13% 149
2025
Q3
$187M Sell
927,765
-152,419
-14% -$31.3M 0.34% 48
2025
Q2
$236M Buy
1,080,184
+31,669
+3% +$7.15M 0.49% 31
2025
Q1
$256M Buy
1,048,515
+43,893
+4% +$9.96M 0.62% 28
2024
Q4
$213M Sell
1,004,622
-57,294
-5% -$12.7M 0.55% 28
2024
Q3
$237M Buy
1,061,916
+9,280
+0.9% +$2.06M 0.61% 27
2024
Q2
$222M Buy
1,052,636
+103,515
+11% +$21.3M 0.61% 26
2024
Q1
$195M Buy
949,121
+21,961
+2% +$4.38M 0.64% 25
2023
Q4
$176M Buy
927,160
+29,893
+3% +$5.78M 0.63% 27
2023
Q3
$171M Sell
897,267
-29,778
-3% -$5.71M 0.72% 25
2023
Q2
$174M Buy
927,045
+117,445
+15% +$20.8M 0.71% 24
2023
Q1
$135M Sell
809,600
-10,042
-1% -$1.67M 0.61% 17
2022
Q4
$136M Buy
819,642
+136,566
+20% +$22.3M 0.67% 17
2022
Q3
$102M Sell
683,076
-5,477
-0.8% -$879K 0.59% 16
2022
Q2
$107M Sell
688,553
-131,583
-16% -$21.1M 0.57% 22
2022
Q1
$140M Sell
820,136
-15,708
-2% -$2.48M 0.7% 18
2021
Q4
$145M Sell
835,844
-144,937
-15% -$24.1M 0.61% 26
2021
Q3
$149M Sell
980,781
-9,088
-0.9% -$1.37M 0.66% 25
2021
Q2
$139M Buy
989,869
+16,298
+2% +$2.19M 0.61% 29
2021
Q1
$119M Sell
973,571
-80,690
-8% -$9.29M 0.58% 32
2020
Q4
$123M Sell
1,054,261
-43,204
-4% -$4.91M 0.64% 27
2020
Q3
$126M Sell
1,097,465
-56,440
-5% -$6.47M 0.74% 26
2020
Q2
$124M Buy
1,153,905
+493,890
+75% +$50M 0.77% 21
2020
Q1
$57.1M Buy
660,015
+185,602
+39% +$19.8M 0.42% 57
2019
Q4
$52.9M Buy
474,413
+171,961
+57% +$18M 0.32% 69
2019
Q3
$30.3M Sell
302,452
-8,358
-3% -$835K 0.21% 105
2019
Q2
$31M Buy
310,810
+118,922
+62% +$11.4M 0.21% 101
2019
Q1
$18M Buy
191,888
+340
+0.2% +$30.1K 0.12% 168
2018
Q4
$15.3M Sell
191,548
-54,489
-22% -$4.54M 0.11% 185
2018
Q3
$20.4M Sell
246,037
-9,468
-4% -$802K 0.11% 188
2018
Q2
$20.9M Sell
255,505
-4,536
-2% -$370K 0.12% 178
2018
Q1
$21.5M Sell
260,041
-25,720
-9% -$2.13M 0.13% 169
2017
Q4
$23.3M Sell
285,761
-40,191
-12% -$3.34M 0.13% 176
2017
Q3
$27.3M Buy
325,952
+2,740
+0.8% +$217K 0.15% 158
2017
Q2
$25.2M Buy
323,212
+3,260
+1% +$246K 0.14% 168
2017
Q1
$23.6M Sell
319,952
-19,825
-6% -$1.42M 0.14% 168
2016
Q4
$23M Buy
339,777
+18,340
+6% +$1.23M 0.14% 167
2016
Q3
$21.6M Buy
321,437
+7,744
+2% +$519K 0.13% 171
2016
Q2
$21.5M Buy
313,693
+46,032
+17% +$2.96M 0.15% 157
2016
Q1
$16.3M Buy
267,661
+1,661
+0.6% +$93K 0.12% 185
2015
Q4
$14.8M Sell
266,000
-25,738
-9% -$1.42M 0.11% 202
2015
Q3
$15.2M Sell
291,738
-12,186
-4% -$680K 0.13% 185
2015
Q2
$17.2M Buy
303,924
+11,690
+4% +$675K 0.12% 194
2015
Q1
$16.4M Buy
292,234
+67,688
+30% +$3.82M 0.11% 205
2014
Q4
$12.9M Sell
224,546
-1,275
-0.6% -$69.9K 0.1% 239
2014
Q3
$11.8M Sell
225,821
-1,160
-0.5% -$60.5K 0.09% 242
2014
Q2
$11.8M Sell
226,981
-1,760
-0.8% -$87.4K 0.09% 253
2014
Q1
$11.3M Buy
228,741
+10,910
+5% +$523K 0.09% 239
2013
Q4
$10.5M Buy
217,831
+65,435
+43% +$3.03M 0.09% 255
2013
Q3
$6.64M Sell
152,396
-80,823
-35% -$3.4M 0.06% 342
2013
Q2
$9.31M Buy
+233,219
New +$9.13M 0.09% 245

Other funds holding MRSH

Aviva's MRSH Position: Q1 2026 in Review

Aviva reduced its Marsh (MRSH) stake by 4.5% in Q1 2026, selling an estimated $3.35M and leaving 393,705 shares worth $68.3M. The position accounts for 0.11% of the portfolio, ranked #177.

Aviva first reported a position in MRSH in Q2 2013 and has held it in 52 quarters since. The position peaked at $256M in Q1 2025. 1,535 funds tracked by Wall St. Rank hold MRSH as of Q1 2026.

  • Aviva held 393,705 shares of Marsh worth $68.3M as of Q1 2026.
  • Aviva sold 18,629 Marsh shares in Q1 2026, an estimated $3.35M.
  • Marsh made up 0.11% of Aviva's portfolio in Q1 2026, its #177 holding.
  • Aviva first reported a position in Marsh in Q2 2013 and has held it in 52 quarters since.
  • Aviva's Marsh position peaked at $256M in Q1 2025.
  • 1,535 funds tracked by Wall St. Rank held Marsh as of Q1 2026.

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