Bought
Maintained
Sold
| Quarter | Market Value | Status | Shares |
Change in Stake | Trade Value | Portfolio Weight | Portfolio Position | |
|---|---|---|---|---|---|---|---|---|
|
2020
Q2 | – | Sell |
-6,600
| Closed | -$197K | – | 5490 |
|
|
2020
Q1 | $197K | Buy |
6,600
+6,200
| +1,550% | +$265K | ﹤0.01% | 4307 |
|
|
2019
Q4 | $17K | Sell |
400
-300
| -43% | -$12.4K | ﹤0.01% | 6007 |
|
|
2019
Q3 | $26K | Buy |
+700
| New | +$25.2K | ﹤0.01% | 6142 |
|
|
2019
Q2 | – | Sell |
-100
| Closed | -$3K | – | 6897 |
|
|
2019
Q1 | $3K | Sell |
100
-300
| -75% | -$8.97K | ﹤0.01% | 6784 |
|
|
2018
Q4 | $11K | Buy |
+400
| New | +$12.2K | ﹤0.01% | 6123 |
|
|
2018
Q3 | – | Sell |
-100
| Closed | -$3K | – | 7081 |
|
|
2018
Q2 | $3K | Sell |
100
-100
| -50% | -$3.43K | ﹤0.01% | 6769 |
|
|
2018
Q1 | $7K | Hold |
200
| – | – | ﹤0.01% | 6721 |
|
|
2017
Q4 | $7K | Sell |
200
-900
| -82% | -$32.7K | ﹤0.01% | 6590 |
|
|
2017
Q3 | $40K | Sell |
1,100
-900
| -45% | -$29.6K | ﹤0.01% | 5472 |
|
|
2017
Q2 | $65K | Sell |
2,000
-1,600
| -44% | -$53K | ﹤0.01% | 5186 |
|
|
2017
Q1 | $128K | Sell |
3,600
-65,300
| -95% | -$2.39M | ﹤0.01% | 4698 |
|
|
2016
Q4 | $2.5M | Buy |
68,900
+65,700
| +2,053% | +$2.18M | ﹤0.01% | 1938 |
|
|
2016
Q3 | $95K | Sell |
3,200
-1,300
| -29% | -$41.9K | ﹤0.01% | 4545 |
|
|
2016
Q2 | $143K | Buy |
4,500
+1,400
| +45% | +$44.3K | ﹤0.01% | 4153 |
|
|
2016
Q1 | $93K | Sell |
3,100
-2,800
| -47% | -$77.7K | ﹤0.01% | 4401 |
|
|
2015
Q4 | $177K | Sell |
5,900
-4,500
| -43% | -$135K | ﹤0.01% | 4003 |
|
|
2015
Q3 | $281K | Buy |
10,400
+5,200
| +100% | +$151K | ﹤0.01% | 3848 |
|
|
2015
Q2 | $172K | Buy |
5,200
+1,580
| +44% | +$52.1K | ﹤0.01% | 4245 |
|
|
2015
Q1 | $109K | Buy |
3,620
+1,520
| +72% | +$43.4K | ﹤0.01% | 4790 |
|
|
2014
Q4 | $63K | Hold |
2,100
| – | – | ﹤0.01% | 5524 |
|
|
2014
Q3 | $69K | Sell |
2,100
-2,200
| -51% | -$78.1K | ﹤0.01% | 5608 |
|
|
2014
Q2 | $138K | Buy |
4,300
+3,700
| +617% | +$119K | ﹤0.01% | 5170 |
|
|
2014
Q1 | $19K | Sell |
600
-200
| -25% | -$6.1K | ﹤0.01% | 6628 |
|
|
2013
Q4 | $23K | Buy |
800
+100
| +14% | +$3.02K | ﹤0.01% | 6617 |
|
|
2013
Q3 | $22K | Sell |
700
-3,700
| -84% | -$116K | ﹤0.01% | 6481 |
|
|
2013
Q2 | $140K | Buy |
+4,400
| New | +$133K | ﹤0.01% | 5511 |
|
Other funds holding ACM
Barclays's ACM Position: Q2 2026 in Review
Barclays increased its Aecom (ACM) stake by 19% in Q2 2026, buying an estimated $8.76M and bringing the position to 728,214 shares worth $50.8M. The position accounts for 0.01% of the portfolio, ranked #729.
Barclays first reported a position in ACM in Q2 2013 and has held it in 53 quarters since. The position peaked at $64M in Q3 2025. 574 funds tracked by Wall St. Rank hold ACM as of Q2 2026.
- Barclays held 728,214 shares of Aecom worth $50.8M as of Q2 2026.
- Barclays bought 114,501 Aecom shares in Q2 2026, an estimated $8.76M.
- Aecom made up 0.01% of Barclays's portfolio in Q2 2026, its #729 holding.
- Barclays first reported a position in Aecom in Q2 2013 and has held it in 53 quarters since.
- Barclays's Aecom position peaked at $64M in Q3 2025.
- 574 funds tracked by Wall St. Rank held Aecom as of Q2 2026.
Based on Barclays's 13F filing for Q2 2026, filed 14 Aug 2026.