Bought
Maintained
Sold
| Quarter | Market Value | Status | Shares |
Change in Stake | Trade Value | Portfolio Weight | Portfolio Position | |
|---|---|---|---|---|---|---|---|---|
|
2020
Q2 | – | Sell |
-23,400
| Closed | -$619K | – | 6118 |
|
|
2020
Q1 | $619K | Buy |
23,400
+14,800
| +172% | +$623K | ﹤0.01% | 3412 |
|
|
2019
Q4 | $467K | Sell |
8,600
-4,300
| -33% | -$224K | ﹤0.01% | 4364 |
|
|
2019
Q3 | $668K | Buy |
12,900
+5,800
| +82% | +$303K | ﹤0.01% | 4005 |
|
|
2019
Q2 | $414K | Buy |
7,100
+6,600
| +1,320% | +$393K | ﹤0.01% | 4493 |
|
|
2019
Q1 | $31K | Sell |
500
-6,700
| -93% | -$392K | ﹤0.01% | 6157 |
|
|
2018
Q4 | $347K | Sell |
7,200
-700
| -9% | -$40.1K | ﹤0.01% | 4153 |
|
|
2018
Q3 | $577K | Sell |
7,900
-3,500
| -31% | -$267K | ﹤0.01% | 4151 |
|
|
2018
Q2 | $819K | Sell |
11,400
-8,900
| -44% | -$624K | ﹤0.01% | 3487 |
|
|
2018
Q1 | $1.48M | Buy |
20,300
+10,100
| +99% | +$814K | ﹤0.01% | 2774 |
|
|
2017
Q4 | $859K | Buy |
10,200
+6,400
| +168% | +$523K | ﹤0.01% | 3261 |
|
|
2017
Q3 | $321K | Sell |
3,800
-12,100
| -76% | -$916K | ﹤0.01% | 4020 |
|
|
2017
Q2 | $1.14M | Buy |
15,900
+8,800
| +124% | +$609K | ﹤0.01% | 2750 |
|
|
2017
Q1 | $536K | Hold |
7,100
| – | – | ﹤0.01% | 3330 |
|
|
2016
Q4 | $529K | Buy |
7,100
+1,100
| +18% | +$81.1K | ﹤0.01% | 3312 |
|
|
2016
Q3 | $396K | Sell |
6,000
-265,800
| -98% | -$17.4M | ﹤0.01% | 3415 |
|
|
2016
Q2 | $16.6M | Buy |
271,800
+264,500
| +3,623% | +$17.5M | 0.02% | 597 |
|
|
2016
Q1 | $467K | Buy |
7,300
+4,000
| +121% | +$227K | ﹤0.01% | 3205 |
|
|
2015
Q4 | $185K | Buy |
3,300
+1,000
| +43% | +$66.1K | ﹤0.01% | 3967 |
|
|
2015
Q3 | $170K | Sell |
2,300
-2,600
| -53% | -$222K | ﹤0.01% | 4252 |
|
|
2015
Q2 | $426K | Buy |
4,900
+1,800
| +58% | +$170K | ﹤0.01% | 3597 |
|
|
2015
Q1 | $291K | Sell |
3,100
-5,900
| -66% | -$542K | ﹤0.01% | 4062 |
|
|
2014
Q4 | $828K | Sell |
9,000
-35,700
| -80% | -$3.19M | ﹤0.01% | 3373 |
|
|
2014
Q3 | $3.98M | Buy |
44,700
+29,200
| +188% | +$2.62M | ﹤0.01% | 1999 |
|
|
2014
Q2 | $1.36M | Buy |
15,500
+8,300
| +115% | +$695K | ﹤0.01% | 3023 |
|
|
2014
Q1 | $569K | Buy |
7,200
+2,500
| +53% | +$185K | ﹤0.01% | 3824 |
|
|
2013
Q4 | $343K | Sell |
4,700
-14,900
| -76% | -$987K | ﹤0.01% | 4456 |
|
|
2013
Q3 | $1.16M | Sell |
19,600
-500
| -2% | -$30K | ﹤0.01% | 3193 |
|
|
2013
Q2 | $1.22M | Buy |
+20,100
| New | +$1.21M | ﹤0.01% | 3111 |
|
Other funds holding R
VPM
VCM
Barclays's R Position: Q1 2026 in Review
Barclays increased its Ryder (R) stake by 57% in Q1 2026, buying an estimated $4.72M and bringing the position to 64,366 shares worth $13.2M. The position accounts for ﹤0.01% of the portfolio, ranked #1311.
Barclays first reported a position in R in Q2 2013 and has held it in 52 quarters since. The position peaked at $24.5M in Q4 2021. 525 funds tracked by Wall St. Rank hold R as of Q1 2026.
- Barclays held 64,366 shares of Ryder worth $13.2M as of Q1 2026.
- Barclays bought 23,336 Ryder shares in Q1 2026, an estimated $4.72M.
- Ryder made up ﹤0.01% of Barclays's portfolio in Q1 2026, its #1311 holding.
- Barclays first reported a position in Ryder in Q2 2013 and has held it in 52 quarters since.
- Barclays's Ryder position peaked at $24.5M in Q4 2021.
- 525 funds tracked by Wall St. Rank held Ryder as of Q1 2026.
Based on Barclays's 13F filing for Q1 2026, filed 15 May 2026.