Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
Sell
-341,700
Closed -$74.2M 5048
2025
Q4
$74.2M Sell
341,700
-730,000
-68% -$150M 0.02% 613
2025
Q3
$231M Buy
1,071,700
+554,300
+107% +$125M 0.05% 265
2025
Q2
$108M Buy
517,400
+17,300
+3% +$3.27M 0.02% 440
2025
Q1
$85.3M Sell
500,100
-394,200
-44% -$68.2M 0.02% 475
2024
Q4
$158M Sell
894,300
-481,300
-35% -$75.5M 0.04% 275
2024
Q3
$209M Buy
1,375,600
+726,700
+112% +$125M 0.06% 246
2024
Q2
$118M Buy
648,900
+276,800
+74% +$49.3M 0.04% 342
2024
Q1
$71.8M Sell
372,100
-235,100
-39% -$48.3M 0.03% 480
2023
Q4
$158M Buy
+607,200
New +$130M 0.06% 287
2023
Q2
Sell
-80,300
Closed -$17.1M 4559
2023
Q1
$17.1M Sell
80,300
-161,300
-67% -$33.5M 0.01% 908
2022
Q4
$46M Buy
+241,600
New +$39.5M 0.02% 530
2022
Q3
Sell
-78,000
Closed -$10.7M 4782
2022
Q2
$10.7M Buy
+78,000
New +$11.5M 0.01% 989
2022
Q1
Sell
-781,600
Closed -$157M 4947
2021
Q4
$157M Buy
781,600
+434,200
+125% +$91.7M 0.06% 252
2021
Q3
$76.4M Buy
347,400
+125,100
+56% +$27.9M 0.03% 392
2021
Q2
$53.3M Sell
222,300
-514,300
-70% -$124M 0.03% 493
2021
Q1
$188M Sell
736,600
-782,400
-52% -$174M 0.1% 159
2020
Q4
$325M Buy
1,519,000
+248,800
+20% +$47.8M 0.17% 89
2020
Q3
$210M Buy
1,270,200
+373,300
+42% +$63.6M 0.12% 125
2020
Q2
$164M Sell
896,900
-198,700
-18% -$30.5M 0.13% 122
2020
Q1
$163M Buy
1,095,600
+30,900
+3% +$8.46M 0.13% 111
2019
Q4
$347M Sell
1,064,700
-108,700
-9% -$38.5M 0.19% 85
2019
Q3
$446M Buy
1,173,400
+696,800
+146% +$249M 0.28% 54
2019
Q2
$173M Sell
476,600
-69,200
-13% -$25.2M 0.11% 162
2019
Q1
$208M Buy
545,800
+302,900
+125% +$117M 0.14% 106
2018
Q4
$78.3M Buy
242,900
+22,300
+10% +$7.7M 0.06% 245
2018
Q3
$82M Sell
220,600
-66,800
-23% -$23.5M 0.06% 262
2018
Q2
$96.4M Buy
287,400
+20,000
+7% +$6.88M 0.08% 201
2018
Q1
$87.7M Buy
267,400
+9,300
+4% +$3.14M 0.07% 242
2017
Q4
$76.1M Buy
258,100
+54,800
+27% +$14.8M 0.06% 257
2017
Q3
$51.7M Buy
203,300
+3,200
+2% +$746K 0.05% 288
2017
Q2
$39.6M Buy
200,100
+71,900
+56% +$13.4M 0.04% 351
2017
Q1
$22.7M Sell
128,200
-21,100
-14% -$3.59M 0.02% 515
2016
Q4
$23.2M Buy
149,300
+13,100
+10% +$1.91M 0.03% 532
2016
Q3
$17.9M Sell
136,200
-49,600
-27% -$6.53M 0.02% 596
2016
Q2
$24.1M Sell
185,800
-40,400
-18% -$5.27M 0.03% 454
2016
Q1
$28.5M Buy
226,200
+78,400
+53% +$9.73M 0.04% 372
2015
Q4
$21.3M Sell
147,800
-26,200
-15% -$3.77M 0.03% 546
2015
Q3
$22.6M Sell
174,000
-45,700
-21% -$6.34M 0.03% 548
2015
Q2
$30.3M Buy
219,700
+27,200
+14% +$3.97M 0.03% 463
2015
Q1
$28.9M Sell
192,500
-259,600
-57% -$37.8M 0.03% 524
2014
Q4
$58.3M Buy
452,100
+108,000
+31% +$13.7M 0.06% 301
2014
Q3
$43.7M Sell
344,100
-81,800
-19% -$10.3M 0.04% 373
2014
Q2
$54.1M Buy
425,900
+128,200
+43% +$16.7M 0.06% 289
2014
Q1
$37.2M Sell
297,700
-136,300
-31% -$17.8M 0.04% 390
2013
Q4
$59M Buy
434,000
+282,400
+186% +$36.7M 0.06% 286
2013
Q3
$17.7M Sell
151,600
-42,000
-22% -$4.52M 0.02% 737
2013
Q2
$19.8M Buy
+193,600
New +$18.4M 0.02% 648

Other funds holding BA

Barclays's BA Position: Q1 2026 in Review

Barclays reduced its Boeing (BA) stake by 12% in Q1 2026, selling an estimated $53.3M and leaving 1,701,861 shares worth $339M. The position accounts for 0.08% of the portfolio, ranked #178.

Barclays first reported a position in BA in Q2 2013 and has held it in 52 quarters since. The position peaked at $814M in Q4 2023. 2,506 funds tracked by Wall St. Rank hold BA as of Q1 2026.

  • Barclays held 1,701,861 shares of Boeing worth $339M as of Q1 2026.
  • Barclays sold 233,857 Boeing shares in Q1 2026, an estimated $53.3M.
  • Boeing made up 0.08% of Barclays's portfolio in Q1 2026, its #178 holding.
  • Barclays first reported a position in Boeing in Q2 2013 and has held it in 52 quarters since.
  • Barclays's Boeing position peaked at $814M in Q4 2023.
  • 2,506 funds tracked by Wall St. Rank held Boeing as of Q1 2026.

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