Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$8.63M Sell
35,600
-42,600
-54% -$11.5M ﹤0.01% 1532
2025
Q4
$23.2M Sell
78,200
-360,000
-82% -$108M 0.01% 1176
2025
Q3
$124M Buy
438,200
+348,700
+390% +$91.3M 0.03% 426
2025
Q2
$26.4M Buy
+89,500
New +$23.1M 0.01% 981
2025
Q1
Sell
-36,400
Closed -$8M 5384
2024
Q4
$8M Sell
36,400
-9,000
-20% -$2M ﹤0.01% 1745
2024
Q3
$10M Buy
+45,400
New +$8.9M ﹤0.01% 1483
2024
Q2
Sell
-169,900
Closed -$32.4M 5066
2024
Q1
$32.4M Sell
169,900
-313,500
-65% -$57.2M 0.01% 787
2023
Q4
$79.1M Buy
+483,400
New +$73M 0.03% 489
2023
Q2
Sell
-598,600
Closed -$78.5M 4774
2023
Q1
$78.5M Sell
598,600
-32,500
-5% -$4.35M 0.04% 313
2022
Q4
$88.9M Buy
+631,100
New +$87.1M 0.04% 303
2022
Q3
Sell
-463,400
Closed -$65.4M 4947
2022
Q2
$65.4M Buy
+463,400
New +$62.5M 0.04% 314
2022
Q1
Sell
-557,900
Closed -$74.6M 5258
2021
Q4
$74.6M Buy
557,900
+43,896
+9% +$5.51M 0.03% 435
2021
Q3
$68.3M Buy
514,004
+298,110
+138% +$39.9M 0.03% 423
2021
Q2
$30.3M Buy
215,894
+22,907
+12% +$3.13M 0.01% 705
2021
Q1
$24.6M Sell
192,987
-251,981
-57% -$30.2M 0.01% 718
2020
Q4
$53.5M Buy
444,968
+149,787
+51% +$17.3M 0.03% 442
2020
Q3
$34.3M Buy
295,181
+66,212
+29% +$7.8M 0.02% 515
2020
Q2
$26.4M Sell
228,969
-515,365
-69% -$59.9M 0.02% 537
2020
Q1
$78.9M Buy
744,334
+355,536
+91% +$45M 0.06% 206
2019
Q4
$49.8M Sell
388,798
-236,082
-38% -$30.7M 0.03% 510
2019
Q3
$86.9M Buy
624,880
+67,362
+12% +$9.09M 0.05% 279
2019
Q2
$73.5M Buy
557,518
+80,751
+17% +$10.6M 0.05% 356
2019
Q1
$64.3M Sell
476,767
-96,023
-17% -$12.2M 0.04% 372
2018
Q4
$62.2M Buy
572,790
+120,709
+27% +$14.5M 0.05% 306
2018
Q3
$65.4M Sell
452,081
-203,447
-31% -$28.4M 0.05% 319
2018
Q2
$87.5M Buy
655,528
+295,390
+82% +$41.2M 0.08% 221
2018
Q1
$52.8M Sell
360,138
-108,679
-23% -$16.4M 0.04% 398
2017
Q4
$68.8M Buy
468,817
+218,928
+88% +$31.8M 0.06% 291
2017
Q3
$34.7M Sell
249,889
-25,314
-9% -$3.53M 0.04% 439
2017
Q2
$40.5M Sell
275,203
-53,450
-16% -$8.06M 0.04% 347
2017
Q1
$54.7M Sell
328,653
-137,340
-29% -$23M 0.06% 233
2016
Q4
$73.9M Sell
465,993
-84,517
-15% -$12.9M 0.08% 194
2016
Q3
$83.6M Buy
550,510
+39,853
+8% +$6.05M 0.09% 165
2016
Q2
$74.1M Buy
510,657
+159,724
+46% +$22.9M 0.1% 170
2016
Q1
$50.7M Sell
350,933
-737,116
-68% -$94.2M 0.08% 215
2015
Q4
$143M Sell
1,088,049
-112,027
-9% -$15.1M 0.17% 102
2015
Q3
$165M Sell
1,200,076
-38,388
-3% -$5.67M 0.2% 76
2015
Q2
$192M Buy
1,238,464
+90,479
+8% +$14.5M 0.22% 60
2015
Q1
$176M Buy
1,147,985
+204,598
+22% +$31M 0.2% 74
2014
Q4
$144M Buy
943,387
+479,381
+103% +$76.3M 0.14% 109
2014
Q3
$83.8M Buy
464,006
+98,847
+27% +$18M 0.08% 195
2014
Q2
$63.2M Sell
365,159
-207,631
-36% -$37.4M 0.07% 244
2014
Q1
$105M Sell
572,790
-86,295
-13% -$15.2M 0.12% 141
2013
Q4
$118M Buy
659,085
+297,692
+82% +$51.3M 0.12% 129
2013
Q3
$63.9M Sell
361,393
-172,067
-32% -$31.3M 0.08% 219
2013
Q2
$97.5M Buy
+533,460
New +$104M 0.12% 115

Other funds holding IBM

Barclays's IBM Position: Q1 2026 in Review

Barclays reduced its IBM (IBM) stake by 15% in Q1 2026, selling an estimated $115M and leaving 2,341,254 shares worth $567M. The position accounts for 0.14% of the portfolio, ranked #114.

Barclays first reported a position in IBM in Q2 2013 and has held it in 52 quarters since. The position peaked at $1.02B in Q3 2024. 3,463 funds tracked by Wall St. Rank hold IBM as of Q1 2026.

  • Barclays held 2,341,254 shares of IBM worth $567M as of Q1 2026.
  • Barclays sold 425,594 IBM shares in Q1 2026, an estimated $115M.
  • IBM made up 0.14% of Barclays's portfolio in Q1 2026, its #114 holding.
  • Barclays first reported a position in IBM in Q2 2013 and has held it in 52 quarters since.
  • Barclays's IBM position peaked at $1.02B in Q3 2024.
  • 3,463 funds tracked by Wall St. Rank held IBM as of Q1 2026.

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