Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$295M Buy
2,006,000
+921,300
+85% +$150M 0.07% 205
2025
Q4
$211M Buy
1,084,700
+84,200
+8% +$20M 0.05% 273
2025
Q3
$281M Buy
1,000,500
+563,000
+129% +$143M 0.06% 226
2025
Q2
$95.7M Buy
+437,500
New +$70.6M 0.02% 483
2025
Q1
Sell
-195,500
Closed -$32.6M 5471
2024
Q4
$32.6M Hold
195,500
0.01% 849
2024
Q3
$33.3M Buy
+195,500
New +$28.3M 0.01% 824
2024
Q2
Sell
-406,400
Closed -$51M 5185
2024
Q1
$51M Sell
406,400
-24,600
-6% -$2.82M 0.02% 613
2023
Q4
$45.4M Buy
+431,000
New +$47M 0.02% 712
2023
Q2
Sell
-817,800
Closed -$76M 4942
2023
Q1
$76M Buy
817,800
+250,200
+44% +$21.9M 0.03% 318
2022
Q4
$46.4M Buy
+567,600
New +$43.1M 0.02% 524
2022
Q3
Sell
-315,400
Closed -$22M 5045
2022
Q2
$22M Buy
+315,400
New +$23.1M 0.01% 679
2022
Q1
Sell
-84,800
Closed -$7.4M 5441
2021
Q4
$7.4M Sell
84,800
-12,600
-13% -$1.18M ﹤0.01% 1447
2021
Q3
$8.49M Buy
97,400
+54,600
+128% +$4.82M ﹤0.01% 1288
2021
Q2
$3.33M Sell
42,800
-60,000
-58% -$4.7M ﹤0.01% 1847
2021
Q1
$7.21M Sell
102,800
-307,100
-75% -$19.9M ﹤0.01% 1241
2020
Q4
$26.5M Sell
409,900
-71,400
-15% -$4.25M 0.01% 710
2020
Q3
$28.7M Sell
481,300
-406,700
-46% -$23.1M 0.02% 589
2020
Q2
$49.1M Buy
888,000
+584,400
+192% +$31M 0.04% 340
2020
Q1
$14.7M Sell
303,600
-282,400
-48% -$14.6M 0.01% 785
2019
Q4
$31M Sell
586,000
-31,900
-5% -$1.76M 0.02% 720
2019
Q3
$34M Sell
617,900
-1,149,700
-65% -$63.5M 0.02% 613
2019
Q2
$101M Buy
1,767,600
+515,700
+41% +$27.9M 0.06% 264
2019
Q1
$67.2M Sell
1,251,900
-1,123,200
-47% -$57.2M 0.05% 352
2018
Q4
$107M Buy
2,375,100
+299,800
+14% +$14.4M 0.08% 177
2018
Q3
$107M Buy
2,075,300
+754,900
+57% +$36.7M 0.07% 198
2018
Q2
$58.2M Buy
1,320,400
+533,900
+68% +$24.6M 0.05% 320
2018
Q1
$36M Buy
786,500
+370,500
+89% +$18.4M 0.03% 554
2017
Q4
$19.7M Sell
416,000
-50,100
-11% -$2.46M 0.02% 809
2017
Q3
$22.5M Sell
466,100
-10,500
-2% -$522K 0.02% 612
2017
Q2
$23.9M Buy
476,600
+236,700
+99% +$10.8M 0.03% 523
2017
Q1
$10.7M Sell
239,900
-1,017,400
-81% -$42.4M 0.01% 836
2016
Q4
$48.3M Sell
1,257,300
-69,100
-5% -$2.7M 0.05% 282
2016
Q3
$52.1M Sell
1,326,400
-282,200
-18% -$11.5M 0.06% 247
2016
Q2
$65.8M Sell
1,608,600
-693,300
-30% -$27.7M 0.09% 196
2016
Q1
$92.1M Buy
2,301,900
+371,300
+19% +$13.7M 0.14% 121
2015
Q4
$69.5M Buy
1,930,600
+583,400
+43% +$22.3M 0.08% 200
2015
Q3
$48.5M Buy
1,347,200
+314,600
+30% +$12.1M 0.06% 288
2015
Q2
$41.3M Sell
1,032,600
-74,300
-7% -$3.22M 0.05% 356
2015
Q1
$47.6M Buy
1,106,900
+288,000
+35% +$12.5M 0.05% 341
2014
Q4
$36M Buy
818,900
+52,700
+7% +$2.14M 0.03% 481
2014
Q3
$29.1M Sell
766,200
-267,100
-26% -$10.8M 0.03% 543
2014
Q2
$41.3M Buy
1,033,300
+159,100
+18% +$6.55M 0.04% 380
2014
Q1
$35M Buy
874,200
+268,400
+44% +$10.2M 0.04% 420
2013
Q4
$23M Sell
605,800
-351,600
-37% -$12.1M 0.02% 688
2013
Q3
$31.6M Buy
957,400
+47,300
+5% +$1.53M 0.04% 447
2013
Q2
$27.9M Buy
+910,100
New +$30.2M 0.03% 470

Other funds holding ORCL

Barclays's ORCL Position: Q1 2026 in Review

Barclays increased its Oracle (ORCL) stake by 28% in Q1 2026, buying an estimated $293M and bringing the position to 8,131,987 shares worth $1.2B. The position accounts for 0.29% of the portfolio, ranked #48.

Barclays first reported a position in ORCL in Q2 2013 and has held it in 52 quarters since. The position peaked at $1.57B in Q3 2025. 3,472 funds tracked by Wall St. Rank hold ORCL as of Q1 2026.

  • Barclays held 8,131,987 shares of Oracle worth $1.2B as of Q1 2026.
  • Barclays bought 1,802,503 Oracle shares in Q1 2026, an estimated $293M.
  • Oracle made up 0.29% of Barclays's portfolio in Q1 2026, its #48 holding.
  • Barclays first reported a position in Oracle in Q2 2013 and has held it in 52 quarters since.
  • Barclays's Oracle position peaked at $1.57B in Q3 2025.
  • 3,472 funds tracked by Wall St. Rank held Oracle as of Q1 2026.

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