Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$94.1M Sell
473,000
-947,100
-67% -$216M 0.02% 506
2025
Q4
$308M Sell
1,420,100
-316,500
-18% -$65.1M 0.07% 197
2025
Q3
$375M Sell
1,736,600
-12,700
-0.7% -$2.86M 0.08% 174
2025
Q2
$367M Buy
1,749,300
+753,700
+76% +$142M 0.08% 158
2025
Q1
$170M Buy
995,600
+169,100
+20% +$29.3M 0.05% 283
2024
Q4
$146M Sell
826,500
-1,082,200
-57% -$170M 0.04% 296
2024
Q3
$290M Buy
+1,908,700
New +$327M 0.08% 186
2024
Q2
Sell
-415,000
Closed -$80.1M 4873
2024
Q1
$80.1M Sell
415,000
-805,700
-66% -$166M 0.03% 444
2023
Q4
$318M Buy
+1,220,700
New +$261M 0.12% 146
2023
Q2
Sell
-1,311,300
Closed -$279M 4560
2023
Q1
$279M Sell
1,311,300
-173,700
-12% -$36.1M 0.13% 97
2022
Q4
$283M Buy
+1,485,000
New +$243M 0.13% 125
2022
Q3
Sell
-940,100
Closed -$129M 4783
2022
Q2
$129M Buy
+940,100
New +$139M 0.08% 188
2022
Q1
Sell
-865,800
Closed -$174M 4948
2021
Q4
$174M Buy
865,800
+613,000
+242% +$130M 0.07% 235
2021
Q3
$55.6M Hold
252,800
0.03% 480
2021
Q2
$60.6M Sell
252,800
-723,800
-74% -$175M 0.03% 446
2021
Q1
$249M Sell
976,600
-230,900
-19% -$51.3M 0.13% 121
2020
Q4
$258M Buy
1,207,500
+568,000
+89% +$109M 0.14% 115
2020
Q3
$106M Sell
639,500
-170,900
-21% -$29.1M 0.06% 225
2020
Q2
$149M Sell
810,400
-401,300
-33% -$61.7M 0.11% 132
2020
Q1
$181M Buy
1,211,700
+125,700
+12% +$34.4M 0.14% 96
2019
Q4
$354M Sell
1,086,000
-195,300
-15% -$69.1M 0.2% 82
2019
Q3
$487M Buy
1,281,300
+564,700
+79% +$202M 0.31% 43
2019
Q2
$261M Buy
716,600
+221,500
+45% +$80.8M 0.16% 92
2019
Q1
$189M Buy
495,100
+47,300
+11% +$18.2M 0.13% 120
2018
Q4
$144M Sell
447,800
-14,600
-3% -$5.04M 0.11% 129
2018
Q3
$172M Buy
462,400
+21,300
+5% +$7.48M 0.12% 123
2018
Q2
$148M Buy
441,100
+61,900
+16% +$21.3M 0.13% 127
2018
Q1
$124M Sell
379,200
-46,800
-11% -$15.8M 0.1% 175
2017
Q4
$126M Buy
426,000
+257,500
+153% +$69.7M 0.1% 155
2017
Q3
$42.8M Buy
168,500
+49,100
+41% +$11.4M 0.04% 351
2017
Q2
$23.6M Buy
119,400
+15,900
+15% +$2.96M 0.03% 527
2017
Q1
$18.3M Sell
103,500
-74,100
-42% -$12.6M 0.02% 592
2016
Q4
$27.6M Sell
177,600
-51,700
-23% -$7.55M 0.03% 459
2016
Q3
$30.2M Sell
229,300
-105,400
-31% -$13.9M 0.03% 395
2016
Q2
$43.5M Sell
334,700
-709,000
-68% -$92.4M 0.06% 283
2016
Q1
$132M Buy
1,043,700
+782,700
+300% +$97.1M 0.2% 79
2015
Q4
$37.6M Sell
261,000
-188,000
-42% -$27.1M 0.05% 355
2015
Q3
$58.4M Buy
449,000
+65,900
+17% +$9.14M 0.07% 234
2015
Q2
$52.9M Sell
383,100
-395,700
-51% -$57.7M 0.06% 277
2015
Q1
$117M Buy
778,800
+313,200
+67% +$45.6M 0.13% 127
2014
Q4
$60.1M Buy
465,600
+162,200
+53% +$20.6M 0.06% 292
2014
Q3
$38.5M Sell
303,400
-34,700
-10% -$4.37M 0.04% 416
2014
Q2
$42.9M Sell
338,100
-92,000
-21% -$12M 0.05% 366
2014
Q1
$53.8M Buy
430,100
+138,000
+47% +$18M 0.06% 277
2013
Q4
$39.7M Buy
292,100
+72,100
+33% +$9.37M 0.04% 424
2013
Q3
$25.7M Sell
220,000
-21,800
-9% -$2.35M 0.03% 544
2013
Q2
$24.8M Buy
+241,800
New +$23M 0.03% 547

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.