Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$1.46M Sell
18,800
-31,200
-62% -$2.44M ﹤0.01% 2533
2025
Q4
$3.85M Buy
50,000
+40,500
+426% +$3.01M ﹤0.01% 2428
2025
Q3
$650K Hold
9,500
﹤0.01% 3633
2025
Q2
$659K Buy
+9,500
New +$584K ﹤0.01% 3602
2025
Q1
Sell
-161,900
Closed -$9.58M 5306
2024
Q4
$9.58M Sell
161,900
-14,200
-8% -$811K ﹤0.01% 1605
2024
Q3
$9.37M Sell
176,100
-89,300
-34% -$4.34M ﹤0.01% 1527
2024
Q2
$12.6M Buy
265,400
+77,700
+41% +$3.69M ﹤0.01% 1103
2024
Q1
$9.37M Sell
187,700
-86,900
-32% -$4.34M ﹤0.01% 1440
2023
Q4
$13.9M Buy
+274,600
New +$14M 0.01% 1288
2023
Q2
Sell
-993,700
Closed -$51.9M 4641
2023
Q1
$51.9M Sell
993,700
-443,600
-31% -$21.7M 0.02% 445
2022
Q4
$68.5M Buy
+1,437,300
New +$65.4M 0.03% 361
2022
Q1
Sell
-1,400,000
Closed -$88.7M 5052
2021
Q4
$88.7M Buy
1,400,000
+300,000
+27% +$17.1M 0.03% 389
2021
Q3
$59.9M Sell
1,100,000
-100,000
-8% -$5.61M 0.03% 454
2021
Q2
$63.6M Sell
1,200,000
-504,000
-30% -$26.5M 0.03% 423
2021
Q1
$88.1M Buy
1,704,000
+135,500
+9% +$6.36M 0.05% 288
2020
Q4
$70.2M Buy
1,568,500
+765,500
+95% +$31.5M 0.04% 351
2020
Q3
$31.6M Buy
803,000
+463,300
+136% +$20.2M 0.02% 552
2020
Q2
$15.8M Sell
339,700
-1,207,300
-78% -$52.9M 0.01% 740
2020
Q1
$60.8M Buy
1,547,000
+329,700
+27% +$14.5M 0.05% 263
2019
Q4
$58.4M Buy
1,217,300
+315,600
+35% +$14.7M 0.03% 438
2019
Q3
$44.6M Sell
901,700
-715,100
-44% -$37.2M 0.03% 509
2019
Q2
$88.5M Buy
1,616,800
+394,700
+32% +$21.8M 0.05% 299
2019
Q1
$66M Buy
1,222,100
+456,600
+60% +$22.2M 0.05% 361
2018
Q4
$33.2M Sell
765,500
-178,600
-19% -$8.17M 0.03% 529
2018
Q3
$45.9M Sell
944,100
-45,100
-5% -$2.03M 0.03% 447
2018
Q2
$42.6M Sell
989,200
-294,000
-23% -$12.8M 0.04% 423
2018
Q1
$55M Buy
1,283,200
+377,400
+42% +$16M 0.04% 390
2017
Q4
$34.7M Sell
905,800
-291,000
-24% -$10.4M 0.03% 551
2017
Q3
$40.2M Buy
1,196,800
+1,014,600
+557% +$32.3M 0.04% 387
2017
Q2
$5.7M Sell
182,200
-1,226,500
-87% -$40M 0.01% 1366
2017
Q1
$47.6M Sell
1,408,700
-1,119,900
-44% -$36.3M 0.05% 263
2016
Q4
$76.4M Sell
2,528,600
-311,000
-11% -$9.48M 0.08% 187
2016
Q3
$90.1M Buy
2,839,600
+152,900
+6% +$4.7M 0.1% 152
2016
Q2
$77.1M Buy
2,686,700
+625,000
+30% +$17.5M 0.1% 159
2016
Q1
$57.7M Buy
2,061,700
+1,066,200
+107% +$27.4M 0.09% 184
2015
Q4
$26.9M Sell
995,500
-592,100
-37% -$16.3M 0.03% 465
2015
Q3
$41.3M Buy
1,587,600
+46,500
+3% +$1.26M 0.05% 331
2015
Q2
$41.6M Buy
1,541,100
+305,600
+25% +$8.76M 0.05% 352
2015
Q1
$33.4M Sell
1,235,500
-377,900
-23% -$10.6M 0.04% 458
2014
Q4
$43.6M Sell
1,613,400
-710,100
-31% -$18.3M 0.04% 401
2014
Q3
$58.1M Buy
2,323,500
+625,300
+37% +$15.7M 0.06% 276
2014
Q2
$40.8M Sell
1,698,200
-156,000
-8% -$3.72M 0.04% 385
2014
Q1
$40.8M Sell
1,854,200
-1,133,200
-38% -$25M 0.05% 362
2013
Q4
$65.7M Buy
2,987,400
+1,901,800
+175% +$42.1M 0.07% 259
2013
Q3
$25M Sell
1,085,600
-444,300
-29% -$11M 0.03% 558
2013
Q2
$37.2M Buy
+1,529,900
New +$34.4M 0.05% 352

Other funds holding CSCO

Barclays's CSCO Position: Q1 2026 in Review

Barclays reduced its Cisco (CSCO) stake by 24% in Q1 2026, selling an estimated $274M and leaving 10,917,805 shares worth $847M. The position accounts for 0.2% of the portfolio, ranked #71.

Barclays first reported a position in CSCO in Q2 2013 and has held it in 52 quarters since. The position peaked at $1.44B in Q2 2025. 3,717 funds tracked by Wall St. Rank hold CSCO as of Q1 2026.

  • Barclays held 10,917,805 shares of Cisco worth $847M as of Q1 2026.
  • Barclays sold 3,500,711 Cisco shares in Q1 2026, an estimated $274M.
  • Cisco made up 0.2% of Barclays's portfolio in Q1 2026, its #71 holding.
  • Barclays first reported a position in Cisco in Q2 2013 and has held it in 52 quarters since.
  • Barclays's Cisco position peaked at $1.44B in Q2 2025.
  • 3,717 funds tracked by Wall St. Rank held Cisco as of Q1 2026.

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