Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
Sell
-42,000
Closed -$1.04M 5421
2025
Q4
$1.04M Hold
42,000
﹤0.01% 3402
2025
Q3
$1.19M Sell
42,000
-428,100
-91% -$12.2M ﹤0.01% 3267
2025
Q2
$13.6M Buy
+470,100
New +$13M ﹤0.01% 1360
2025
Q1
Sell
-1,627,200
Closed -$37.1M 5542
2024
Q4
$37.1M Buy
1,627,200
+2,100
+0.1% +$47.3K 0.01% 798
2024
Q3
$35.8M Buy
+1,625,100
New +$32.3M 0.01% 808
2024
Q1
Sell
-840,400
Closed -$14.1M 5355
2023
Q4
$14.1M Buy
+840,400
New +$13.3M 0.01% 1273
2023
Q2
Sell
-573,400
Closed -$11M 5061
2023
Q1
$11M Sell
573,400
-1,330,000
-70% -$25.4M 0.01% 1119
2022
Q4
$35M Sell
1,903,400
-1,172,900
-38% -$21M 0.02% 637
2022
Q3
$47.2M Buy
3,076,300
+1,740,000
+130% +$31.7M 0.05% 323
2022
Q2
$28M Buy
+1,336,300
New +$26.6M 0.02% 580
2022
Q1
Sell
-2,191,750
Closed -$40.7M 5577
2021
Q4
$40.7M Hold
2,191,750
0.02% 657
2021
Q3
$44.7M Sell
2,191,750
-1,160,088
-35% -$24.4M 0.02% 574
2021
Q2
$72.9M Buy
3,351,838
+2,497,328
+292% +$56.8M 0.03% 384
2021
Q1
$19.5M Sell
854,510
-1,899,145
-69% -$42M 0.01% 812
2020
Q4
$59.8M Buy
2,753,655
+370,587
+16% +$7.99M 0.03% 399
2020
Q3
$51.3M Sell
2,383,068
-636,976
-21% -$14.2M 0.03% 387
2020
Q2
$69M Sell
3,020,044
-1,847,377
-38% -$42.1M 0.05% 261
2020
Q1
$107M Buy
4,867,421
+847,369
+21% +$23.2M 0.08% 153
2019
Q4
$119M Buy
4,020,052
+210,913
+6% +$6.09M 0.07% 236
2019
Q3
$109M Buy
3,809,139
+134,651
+4% +$3.57M 0.07% 229
2019
Q2
$93M Sell
3,674,488
-1,098,655
-23% -$26.4M 0.06% 289
2019
Q1
$113M Buy
4,773,143
+1,597,773
+50% +$36.8M 0.08% 204
2018
Q4
$68.4M Buy
3,175,370
+1,139,156
+56% +$26.5M 0.05% 277
2018
Q3
$51.6M Sell
2,036,214
-4,338,236
-68% -$106M 0.04% 401
2018
Q2
$155M Buy
6,374,450
+3,711,092
+139% +$93.1M 0.13% 122
2018
Q1
$71.7M Sell
2,663,358
-4,750,777
-64% -$132M 0.05% 299
2017
Q4
$218M Buy
7,414,135
+2,717,245
+58% +$74.2M 0.18% 100
2017
Q3
$139M Buy
4,696,890
+3,599,426
+328% +$102M 0.14% 114
2017
Q2
$31.3M Buy
1,097,464
+141,536
+15% +$4.17M 0.03% 424
2017
Q1
$30M Sell
955,928
-23,665
-2% -$745K 0.03% 405
2016
Q4
$31.5M Buy
979,593
+74,409
+8% +$2.2M 0.03% 407
2016
Q3
$27.8M Buy
905,184
+422,620
+88% +$13.4M 0.03% 417
2016
Q2
$15.7M Sell
482,564
-107,111
-18% -$3.19M 0.02% 620
2016
Q1
$17.4M Sell
589,675
-1,125,669
-66% -$31.2M 0.03% 528
2015
Q4
$44M Sell
1,715,344
-2,536,783
-60% -$64.3M 0.05% 315
2015
Q3
$103M Buy
4,252,127
+532,084
+14% +$13.6M 0.12% 132
2015
Q2
$98.3M Sell
3,720,043
-8,854,250
-70% -$229M 0.11% 146
2015
Q1
$304M Buy
12,574,293
+6,450,793
+105% +$164M 0.35% 28
2014
Q4
$153M Sell
6,123,500
-139,550
-2% -$3.62M 0.15% 103
2014
Q3
$166M Buy
6,263,050
+1,171,343
+23% +$31.2M 0.16% 85
2014
Q2
$135M Buy
5,091,707
+3,142,514
+161% +$84.2M 0.14% 99
2014
Q1
$51.5M Buy
1,949,193
+669,547
+52% +$16.8M 0.06% 289
2013
Q4
$33.8M Sell
1,279,646
-1,009,550
-44% -$26.6M 0.03% 492
2013
Q3
$57.1M Buy
2,289,196
+481,671
+27% +$12.6M 0.07% 252
2013
Q2
$48.3M Buy
+1,807,525
New +$50.2M 0.06% 265

Other funds holding T

Barclays's T Position: Q1 2026 in Review

Barclays increased its AT&T (T) stake by 0.34% in Q1 2026, buying an estimated $1.4M and bringing the position to 15,330,679 shares worth $444M. The position accounts for 0.11% of the portfolio, ranked #139.

Barclays first reported a position in T in Q2 2013 and has held it in 52 quarters since. The position peaked at $838M in Q3 2013. 2,962 funds tracked by Wall St. Rank hold T as of Q1 2026.

  • Barclays held 15,330,679 shares of AT&T worth $444M as of Q1 2026.
  • Barclays bought 52,534 AT&T shares in Q1 2026, an estimated $1.4M.
  • AT&T made up 0.11% of Barclays's portfolio in Q1 2026, its #139 holding.
  • Barclays first reported a position in AT&T in Q2 2013 and has held it in 52 quarters since.
  • Barclays's AT&T position peaked at $838M in Q3 2013.
  • 2,962 funds tracked by Wall St. Rank held AT&T as of Q1 2026.

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