Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$29M Sell
124,570
-2,387
-2% -$534K 0.05% 292
2025
Q4
$25.8M Sell
126,957
-120,387
-49% -$26.2M 0.04% 316
2025
Q3
$60.7M Buy
247,344
+10,826
+5% +$2.5M 0.09% 206
2025
Q2
$49.4M Sell
236,518
-9,525
-4% -$1.89M 0.08% 229
2025
Q1
$53.6M Sell
246,043
-546
-0.2% -$118K 0.09% 199
2024
Q4
$50.9M Buy
246,589
+13,456
+6% +$2.64M 0.09% 203
2024
Q3
$41.1M Buy
233,133
+7,886
+4% +$1.36M 0.07% 250
2024
Q2
$36.7M Buy
225,247
+53,872
+31% +$8.48M 0.07% 260
2024
Q1
$25.5M Sell
171,375
-4,401
-3% -$580K 0.05% 330
2023
Q4
$22.5M Buy
175,776
+13,282
+8% +$1.54M 0.05% 342
2023
Q3
$17.1M Sell
162,494
-4,602
-3% -$484K 0.04% 401
2023
Q2
$17.5M Sell
167,096
-32,304
-16% -$3.3M 0.04% 399
2023
Q1
$20.2M Buy
199,400
+2,048
+1% +$200K 0.05% 367
2022
Q4
$18.3M Sell
197,352
-56,832
-22% -$5.02M 0.05% 382
2022
Q3
$20.4M Sell
254,184
-13,743
-5% -$1.3M 0.06% 331
2022
Q2
$26.4M Sell
267,927
-36,678
-12% -$3.86M 0.07% 278
2022
Q1
$38.1M Buy
304,605
+6,007
+2% +$723K 0.08% 256
2021
Q4
$40.6M Buy
298,598
+21,455
+8% +$3.1M 0.08% 243
2021
Q3
$43.4M Sell
277,143
-2,578
-0.9% -$419K 0.1% 211
2021
Q2
$40.4M Buy
279,721
+42,475
+18% +$5.96M 0.09% 235
2021
Q1
$31.1M Buy
237,246
+33,251
+16% +$4.14M 0.08% 280
2020
Q4
$24.4M Buy
203,995
+2,375
+1% +$263K 0.05% 382
2020
Q3
$19.1M Buy
201,620
+52,732
+35% +$5.27M 0.04% 397
2020
Q2
$14.4M Buy
+148,888
New +$12.7M 0.03% 437
2020
Q1
Sell
-158,313
Closed -$15.3M 2750
2019
Q4
$15.3M Buy
158,313
+20,024
+14% +$1.87M 0.03% 444
2019
Q3
$11.7M Sell
138,289
-19,210
-12% -$1.55M 0.03% 498
2019
Q2
$12.6M Buy
157,499
+18,175
+13% +$1.49M 0.03% 496
2019
Q1
$12M Buy
139,324
+33,437
+32% +$2.52M 0.03% 445
2018
Q4
$6.41M Sell
105,887
-115
-0.1% -$7.45K 0.02% 579
2018
Q3
$7.43M Sell
106,002
-11,150
-10% -$731K 0.02% 585
2018
Q2
$7.15M Buy
117,152
+28,142
+32% +$1.69M 0.02% 628
2018
Q1
$5.25M Sell
89,010
-14
-0% -$857 0.01% 695
2017
Q4
$5.3M Buy
89,024
+524
+0.6% +$30.7K 0.01% 693
2017
Q3
$4.78M Buy
88,500
+4,042
+5% +$209K 0.01% 706
2017
Q2
$4.3M Buy
84,458
+849
+1% +$43.5K 0.01% 729
2017
Q1
$4.27M Buy
83,609
+302
+0.4% +$15.2K 0.01% 737
2016
Q4
$4.05M Sell
83,307
-1,009
-1% -$50.2K 0.01% 746
2016
Q3
$4.05M Sell
84,316
-148,850
-64% -$7.35M 0.01% 733
2016
Q2
$9.78M Sell
233,166
-30,634
-12% -$1.27M 0.03% 478
2016
Q1
$10.5M Sell
263,800
-584
-0.2% -$21.7K 0.04% 391
2015
Q4
$9.85M Buy
264,384
+206,954
+360% +$7.53M 0.04% 396
2015
Q3
$2.06M Buy
57,430
+7,342
+15% +$292K 0.01% 718
2015
Q2
$2.2M Sell
50,088
-9,982
-17% -$460K 0.01% 780
2015
Q1
$2.85M Sell
60,070
-308,830
-84% -$15.8M 0.01% 738
2014
Q4
$19.5M Sell
368,900
-15,212
-4% -$826K 0.06% 301
2014
Q3
$20M Buy
384,112
+9,293
+2% +$515K 0.07% 299
2014
Q2
$22.8M Sell
374,819
-12,911
-3% -$742K 0.07% 275
2014
Q1
$21.4M Buy
387,730
+134,174
+53% +$6.64M 0.08% 272
2013
Q4
$11.8M Sell
253,556
-45,137
-15% -$2.14M 0.04% 379
2013
Q3
$13.5M Buy
+298,693
New +$11.9M 0.05% 326

Other funds holding GRMN

Canada Life's GRMN Position: Q1 2026 in Review

Canada Life reduced its Garmin (GRMN) stake by 1.9% in Q1 2026, selling an estimated $534K and leaving 124,570 shares worth $29M. The position accounts for 0.05% of the portfolio, ranked #292.

Canada Life first reported a position in GRMN in Q3 2013 and has held it in 50 quarters since. The position peaked at $60.7M in Q3 2025. 1,007 funds tracked by Wall St. Rank hold GRMN as of Q1 2026.

  • Canada Life held 124,570 shares of Garmin worth $29M as of Q1 2026.
  • Canada Life sold 2,387 Garmin shares in Q1 2026, an estimated $534K.
  • Garmin made up 0.05% of Canada Life's portfolio in Q1 2026, its #292 holding.
  • Canada Life first reported a position in Garmin in Q3 2013 and has held it in 50 quarters since.
  • Canada Life's Garmin position peaked at $60.7M in Q3 2025.
  • 1,007 funds tracked by Wall St. Rank held Garmin as of Q1 2026.

Based on Canada Life's 13F filing for Q1 2026, filed 14 May 2026.