Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$814M Sell
3,207,500
-1,404,000
-30% -$365M 0.2% 75
2025
Q4
$1.25B Buy
4,611,500
+1,093,000
+31% +$293M 0.3% 37
2025
Q3
$896M Sell
3,518,500
-195,300
-5% -$44.1M 0.19% 67
2025
Q2
$762M Buy
3,713,800
+120,700
+3% +$24.4M 0.17% 66
2025
Q1
$798M Sell
3,593,100
-578,900
-14% -$134M 0.23% 61
2024
Q4
$1.04B Buy
4,172,000
+2,179,400
+109% +$514M 0.29% 39
2024
Q3
$464M Buy
+1,992,600
New +$445M 0.12% 121
2024
Q2
Sell
-1,245,800
Closed -$214M 4811
2024
Q1
$214M Sell
1,245,800
-293,100
-19% -$53.3M 0.07% 220
2023
Q4
$296M Buy
+1,538,900
New +$284M 0.11% 161
2023
Q2
Sell
-3,008,900
Closed -$496M 4500
2023
Q1
$496M Buy
3,008,900
+1,144,100
+61% +$169M 0.23% 42
2022
Q4
$242M Buy
+1,864,800
New +$267M 0.11% 142
2022
Q3
Sell
-2,050,200
Closed -$280M 4744
2022
Q2
$280M Buy
+2,050,200
New +$310M 0.17% 83
2022
Q1
Sell
-2,619,700
Closed -$465M 4876
2021
Q4
$465M Sell
2,619,700
-13,900
-0.5% -$2.2M 0.17% 106
2021
Q3
$373M Buy
2,633,600
+859,400
+48% +$127M 0.17% 96
2021
Q2
$243M Sell
1,774,200
-329,100
-16% -$42.6M 0.11% 144
2021
Q1
$257M Sell
2,103,300
-5,542,000
-72% -$711M 0.14% 111
2020
Q4
$1.01B Sell
7,645,300
-393,300
-5% -$47.3M 0.54% 22
2020
Q3
$931M Sell
8,038,600
-1,966,600
-20% -$215M 0.55% 28
2020
Q2
$912M Sell
10,005,200
-1,271,200
-11% -$98.5M 0.71% 19
2020
Q1
$717M Sell
11,276,400
-4,286,800
-28% -$315M 0.57% 29
2019
Q4
$1.14B Sell
15,563,200
-2,051,200
-12% -$132M 0.63% 21
2019
Q3
$986M Sell
17,614,400
-674,000
-4% -$35.2M 0.62% 20
2019
Q2
$905M Buy
18,288,400
+2,885,200
+19% +$141M 0.55% 21
2019
Q1
$731M Sell
15,403,200
-2,506,800
-14% -$106M 0.5% 21
2018
Q4
$706M Buy
17,910,000
+3,926,000
+28% +$190M 0.55% 22
2018
Q3
$789M Sell
13,984,000
-963,200
-6% -$50.2M 0.55% 17
2018
Q2
$692M Sell
14,947,200
-868,000
-5% -$39.4M 0.59% 16
2018
Q1
$663M Sell
15,815,200
-875,600
-5% -$37.7M 0.51% 24
2017
Q4
$706M Buy
16,690,800
+332,400
+2% +$13.9M 0.58% 19
2017
Q3
$630M Buy
16,358,400
+2,793,200
+21% +$108M 0.65% 16
2017
Q2
$488M Sell
13,565,200
-5,648,800
-29% -$209M 0.52% 20
2017
Q1
$690M Sell
19,214,000
-12,904,800
-40% -$425M 0.75% 15
2016
Q4
$930M Buy
32,118,800
+2,314,000
+8% +$65.6M 1% 9
2016
Q3
$842M Buy
29,804,800
+9,340,800
+46% +$247M 0.93% 9
2016
Q2
$489M Buy
20,464,000
+7,966,000
+64% +$198M 0.64% 15
2016
Q1
$337M Sell
12,498,000
-19,624,200
-61% -$489M 0.51% 24
2015
Q4
$843M Buy
32,122,200
+8,408,000
+35% +$240M 1.02% 8
2015
Q3
$652M Buy
23,714,200
+3,073,200
+15% +$90.1M 0.79% 14
2015
Q2
$645M Buy
20,641,000
+7,514,840
+57% +$240M 0.72% 13
2015
Q1
$407M Sell
13,126,160
-21,252,320
-62% -$642M 0.47% 19
2014
Q4
$945M Buy
34,378,480
+2,869,280
+9% +$78.1M 0.91% 7
2014
Q3
$788M Buy
31,509,200
+13,300,080
+73% +$326M 0.76% 13
2014
Q2
$419M Sell
18,209,120
-483,960
-3% -$10.3M 0.44% 23
2014
Q1
$358M Buy
18,693,080
+1,316,280
+8% +$25M 0.41% 30
2013
Q4
$348M Sell
17,376,800
-8,348,200
-32% -$158M 0.36% 36
2013
Q3
$437M Buy
25,725,000
+7,500,360
+41% +$124M 0.52% 15
2013
Q2
$258M Buy
+18,224,640
New +$280M 0.32% 38

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.