Bought
Maintained
Sold
| Quarter | Market Value | Status | Shares |
Change in Stake | Trade Value | Portfolio Weight | Portfolio Position | |
|---|---|---|---|---|---|---|---|---|
|
2020
Q3 | – | Sell |
-32,000
| Closed | -$1.2M | – | 5508 |
|
|
2020
Q2 | $1.2M | Sell |
32,000
-20,200
| -39% | -$670K | ﹤0.01% | 2590 |
|
|
2020
Q1 | $1.38M | Buy |
52,200
+31,800
| +156% | +$1.34M | ﹤0.01% | 2631 |
|
|
2019
Q4 | $1.11M | Buy |
20,400
+7,200
| +55% | +$375K | ﹤0.01% | 3583 |
|
|
2019
Q3 | $683K | Buy |
13,200
+5,500
| +71% | +$287K | ﹤0.01% | 3984 |
|
|
2019
Q2 | $449K | Buy |
7,700
+1,400
| +22% | +$83.3K | ﹤0.01% | 4408 |
|
|
2019
Q1 | $391K | Sell |
6,300
-5,700
| -48% | -$334K | ﹤0.01% | 4318 |
|
|
2018
Q4 | $578K | Sell |
12,000
-25,200
| -68% | -$1.44M | ﹤0.01% | 3679 |
|
|
2018
Q3 | $2.72M | Buy |
37,200
+34,500
| +1,278% | +$2.63M | ﹤0.01% | 2517 |
|
|
2018
Q2 | $194K | Sell |
2,700
-7,700
| -74% | -$540K | ﹤0.01% | 4751 |
|
|
2018
Q1 | $757K | Sell |
10,400
-43,400
| -81% | -$3.5M | ﹤0.01% | 3539 |
|
|
2017
Q4 | $4.53M | Buy |
53,800
+42,400
| +372% | +$3.46M | ﹤0.01% | 1740 |
|
|
2017
Q3 | $964K | Sell |
11,400
-700
| -6% | -$53K | ﹤0.01% | 3035 |
|
|
2017
Q2 | $871K | Buy |
12,100
+10,000
| +476% | +$692K | ﹤0.01% | 3001 |
|
|
2017
Q1 | $158K | Sell |
2,100
-2,500
| -54% | -$189K | ﹤0.01% | 4528 |
|
|
2016
Q4 | $342K | Buy |
4,600
+3,000
| +188% | +$221K | ﹤0.01% | 3712 |
|
|
2016
Q3 | $106K | Sell |
1,600
-267,700
| -99% | -$17.5M | ﹤0.01% | 4478 |
|
|
2016
Q2 | $16.5M | Buy |
269,300
+266,000
| +8,061% | +$17.6M | 0.02% | 605 |
|
|
2016
Q1 | $211K | Sell |
3,300
-1,500
| -31% | -$85.2K | ﹤0.01% | 3812 |
|
|
2015
Q4 | $269K | Buy |
4,800
+2,100
| +78% | +$139K | ﹤0.01% | 3677 |
|
|
2015
Q3 | $200K | Sell |
2,700
-900
| -25% | -$76.8K | ﹤0.01% | 4137 |
|
|
2015
Q2 | $313K | Buy |
3,600
+1,100
| +44% | +$104K | ﹤0.01% | 3841 |
|
|
2015
Q1 | $235K | Sell |
2,500
-100
| -4% | -$9.19K | ﹤0.01% | 4222 |
|
|
2014
Q4 | $239K | Sell |
2,600
-2,400
| -48% | -$214K | ﹤0.01% | 4496 |
|
|
2014
Q3 | $445K | Sell |
5,000
-1,400
| -22% | -$126K | ﹤0.01% | 4044 |
|
|
2014
Q2 | $564K | Buy |
6,400
+2,700
| +73% | +$226K | ﹤0.01% | 3857 |
|
|
2014
Q1 | $292K | Sell |
3,700
-5,900
| -61% | -$437K | ﹤0.01% | 4429 |
|
|
2013
Q4 | $701K | Sell |
9,600
-4,600
| -32% | -$305K | ﹤0.01% | 3757 |
|
|
2013
Q3 | $838K | Sell |
14,200
-1,900
| -12% | -$114K | ﹤0.01% | 3550 |
|
|
2013
Q2 | $979K | Buy |
+16,100
| New | +$969K | ﹤0.01% | 3396 |
|
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.