Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$534M Sell
2,105,800
-869,800
-29% -$226M 0.13% 122
2025
Q4
$809M Sell
2,975,600
-85,300
-3% -$22.9M 0.19% 73
2025
Q3
$779M Sell
3,060,900
-712,100
-19% -$161M 0.17% 77
2025
Q2
$774M Buy
3,773,000
+1,886,000
+100% +$381M 0.18% 65
2025
Q1
$419M Sell
1,887,000
-553,800
-23% -$128M 0.12% 131
2024
Q4
$611M Buy
2,440,800
+1,630,500
+201% +$384M 0.17% 65
2024
Q3
$189M Sell
810,300
-2,041,400
-72% -$456M 0.05% 269
2024
Q2
$601M Buy
2,851,700
+2,218,479
+350% +$414M 0.18% 76
2024
Q1
$109M Sell
633,221
-452,379
-42% -$82.3M 0.04% 363
2023
Q4
$209M Buy
+1,085,600
New +$200M 0.08% 232
2023
Q2
Sell
-1,331,200
Closed -$220M 4499
2023
Q1
$220M Sell
1,331,200
-1,007,000
-43% -$149M 0.1% 119
2022
Q4
$304M Buy
+2,338,200
New +$334M 0.14% 112
2022
Q3
Sell
-785,000
Closed -$107M 4743
2022
Q2
$107M Buy
+785,000
New +$119M 0.07% 212
2022
Q1
Sell
-4,394,800
Closed -$780M 4875
2021
Q4
$780M Buy
4,394,800
+1,550,900
+55% +$245M 0.29% 64
2021
Q3
$402M Buy
2,843,900
+450,300
+19% +$66.3M 0.18% 89
2021
Q2
$328M Buy
2,393,600
+266,900
+13% +$34.6M 0.15% 101
2021
Q1
$260M Sell
2,126,700
-1,267,300
-37% -$163M 0.14% 109
2020
Q4
$450M Sell
3,394,000
-1,703,600
-33% -$205M 0.24% 60
2020
Q3
$590M Buy
5,097,600
+440,000
+9% +$48M 0.35% 43
2020
Q2
$425M Sell
4,657,600
-6,628,400
-59% -$514M 0.33% 44
2020
Q1
$717M Buy
11,286,000
+1,987,200
+21% +$146M 0.57% 28
2019
Q4
$683M Sell
9,298,800
-4,794,000
-34% -$308M 0.38% 38
2019
Q3
$789M Buy
14,092,800
+530,800
+4% +$27.8M 0.49% 27
2019
Q2
$671M Buy
13,562,000
+1,333,600
+11% +$65M 0.41% 36
2019
Q1
$581M Sell
12,228,400
-2,772,800
-18% -$118M 0.4% 31
2018
Q4
$592M Buy
15,001,200
+2,449,600
+20% +$119M 0.46% 26
2018
Q3
$708M Buy
12,551,600
+1,340,800
+12% +$69.8M 0.49% 20
2018
Q2
$519M Sell
11,210,800
-346,000
-3% -$15.7M 0.45% 26
2018
Q1
$485M Buy
11,556,800
+887,600
+8% +$38.2M 0.37% 36
2017
Q4
$451M Buy
10,669,200
+418,000
+4% +$17.5M 0.37% 40
2017
Q3
$395M Sell
10,251,200
-759,200
-7% -$29.5M 0.41% 26
2017
Q2
$396M Sell
11,010,400
-4,951,200
-31% -$183M 0.42% 26
2017
Q1
$573M Sell
15,961,600
-14,274,960
-47% -$470M 0.62% 20
2016
Q4
$876M Buy
30,236,560
+290,880
+1% +$8.25M 0.95% 10
2016
Q3
$846M Buy
29,945,680
+950,960
+3% +$25.2M 0.94% 8
2016
Q2
$693M Buy
28,994,720
+1,975,600
+7% +$49.1M 0.9% 9
2016
Q1
$730M Buy
27,019,120
+10,532,280
+64% +$262M 1.11% 9
2015
Q4
$433M Sell
16,486,840
-14,131,840
-46% -$404M 0.53% 22
2015
Q3
$842M Buy
30,618,680
+9,279,200
+43% +$272M 1.02% 9
2015
Q2
$667M Sell
21,339,480
-2,973,760
-12% -$95.1M 0.75% 11
2015
Q1
$754M Sell
24,313,240
-6,492,480
-21% -$196M 0.87% 9
2014
Q4
$847M Sell
30,805,720
-11,338,000
-27% -$308M 0.82% 9
2014
Q3
$1.05B Buy
42,143,720
+2,446,040
+6% +$60M 1.01% 8
2014
Q2
$913M Sell
39,697,680
-357,440
-0.9% -$7.61M 0.97% 11
2014
Q1
$767M Buy
40,055,120
+2,400,160
+6% +$45.7M 0.87% 11
2013
Q4
$754M Sell
37,654,960
-9,458,960
-20% -$179M 0.77% 9
2013
Q3
$801M Buy
47,113,920
+16,298,800
+53% +$270M 0.96% 9
2013
Q2
$436M Buy
+30,815,120
New +$474M 0.54% 17

Other funds holding AAPL

Barclays's AAPL Position: Q1 2026 in Review

Barclays increased its Apple (AAPL) stake by 4.3% in Q1 2026, buying an estimated $390M and bringing the position to 36,270,766 shares worth $9.21B. The position accounts for 2.21% of the portfolio, ranked #6.

Barclays first reported a position in AAPL in Q2 2013 and has held it in 52 quarters since. The position peaked at $13.4B in Q3 2024. 6,073 funds tracked by Wall St. Rank hold AAPL as of Q1 2026.

  • Barclays held 36,270,766 shares of Apple worth $9.21B as of Q1 2026.
  • Barclays bought 1,499,981 Apple shares in Q1 2026, an estimated $390M.
  • Apple made up 2.21% of Barclays's portfolio in Q1 2026, its #6 holding.
  • Barclays first reported a position in Apple in Q2 2013 and has held it in 52 quarters since.
  • Barclays's Apple position peaked at $13.4B in Q3 2024.
  • 6,073 funds tracked by Wall St. Rank held Apple as of Q1 2026.

Based on Barclays's 13F filing for Q1 2026, filed 15 May 2026.