Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2024
Q1
$480M Sell
2,515,749
-189,410
-7% -$34.6M 0.46% 30
2023
Q4
$442M Buy
2,705,159
+77,669
+3% +$11.7M 0.43% 34
2023
Q3
$369M Sell
2,627,490
-7,302
-0.3% -$1.04M 0.37% 42
2023
Q2
$353M Buy
2,634,792
+109,344
+4% +$14.1M 0.35% 44
2023
Q1
$331M Sell
2,525,448
-45,605
-2% -$6.1M 0.33% 51
2022
Q4
$362M Buy
2,571,053
+186,971
+8% +$25.8M 0.38% 43
2022
Q3
$283M Buy
2,384,082
+34,786
+1% +$4.57M 0.32% 55
2022
Q2
$332M Sell
2,349,296
-375,523
-14% -$50.7M 0.35% 53
2022
Q1
$354M Buy
2,724,819
+217,599
+9% +$28.4M 0.3% 58
2021
Q4
$335M Sell
2,507,220
-118,500
-5% -$14.9M 0.18% 91
2021
Q3
$349M Sell
2,625,720
-92,119
-3% -$12.3M 0.19% 85
2021
Q2
$378M Buy
2,717,839
+468,773
+21% +$64.1M 0.2% 75
2021
Q1
$287M Sell
2,249,066
-314,102
-12% -$37.6M 0.15% 126
2020
Q4
$308M Sell
2,563,168
-497,270
-16% -$57.5M 0.15% 130
2020
Q3
$356M Buy
3,060,438
+1,927
+0.1% +$227K 0.22% 83
2020
Q2
$353M Buy
3,058,511
+46,015
+2% +$5.34M 0.25% 73
2020
Q1
$319M Buy
3,012,496
+515,909
+21% +$65.2M 0.28% 56
2019
Q4
$320M Buy
2,496,587
+452,750
+22% +$58.8M 0.23% 67
2019
Q3
$284M Buy
2,043,837
+1,586
+0.1% +$214K 0.24% 68
2019
Q2
$269M Sell
2,042,251
-1,662,460
-45% -$218M 0.24% 68
2019
Q1
$500M Sell
3,704,711
-37,566
-1% -$4.79M 0.46% 25
2018
Q4
$407M Buy
3,742,277
+1,549,760
+71% +$186M 0.42% 42
2018
Q3
$317M Buy
2,192,517
+76,027
+4% +$10.6M 0.28% 48
2018
Q2
$283M Buy
2,116,490
+95,796
+5% +$13.4M 0.28% 48
2018
Q1
$296M Sell
2,020,694
-205,624
-9% -$31.1M 0.28% 54
2017
Q4
$327M Buy
2,226,318
+276,308
+14% +$40.2M 0.29% 56
2017
Q3
$270M Buy
1,950,010
+173,610
+10% +$24.2M 0.26% 63
2017
Q2
$261M Sell
1,776,400
-480,232
-21% -$72.4M 0.25% 72
2017
Q1
$376M Sell
2,256,632
-49,259
-2% -$8.26M 0.34% 51
2016
Q4
$366M Buy
2,305,891
+410,266
+22% +$62.5M 0.36% 47
2016
Q3
$288M Sell
1,895,625
-280,642
-13% -$42.6M 0.27% 57
2016
Q2
$316M Buy
2,176,267
+123,142
+6% +$17.6M 0.35% 44
2016
Q1
$297M Buy
2,053,125
+496,542
+32% +$63.4M 0.36% 49
2015
Q4
$205M Sell
1,556,583
-70,530
-4% -$9.48M 0.24% 83
2015
Q3
$226M Sell
1,627,113
-419,083
-20% -$61.9M 0.27% 72
2015
Q2
$318M Buy
2,046,196
+195,864
+11% +$31.5M 0.31% 60
2015
Q1
$284M Sell
1,850,332
-617,949
-25% -$93.7M 0.29% 68
2014
Q4
$379M Sell
2,468,281
-627,071
-20% -$99.8M 0.34% 53
2014
Q3
$562M Buy
3,095,352
+466,165
+18% +$84.9M 0.46% 27
2014
Q2
$456M Sell
2,629,187
-25,443
-1% -$4.58M 0.37% 33
2014
Q1
$489M Sell
2,654,630
-262,755
-9% -$46.3M 0.48% 27
2013
Q4
$523M Buy
2,917,385
+221,871
+8% +$38.3M 0.47% 26
2013
Q3
$477M Sell
2,695,514
-728,566
-21% -$132M 0.47% 27
2013
Q2
$626M Buy
+3,424,080
New +$667M 0.63% 21

Other funds holding IBM

Credit Suisse's IBM Position: Q1 2024 in Review

Credit Suisse reduced its IBM (IBM) stake by 7% in Q1 2024, selling an estimated $34.6M and leaving 2,515,749 shares worth $480M. The position accounts for 0.46% of the portfolio, ranked #30.

Credit Suisse first reported a position in IBM in Q2 2013 and has held it in 44 quarters since. The position peaked at $626M in Q2 2013. 2,802 funds tracked by Wall St. Rank hold IBM as of Q1 2024.

  • Credit Suisse held 2,515,749 shares of IBM worth $480M as of Q1 2024.
  • Credit Suisse sold 189,410 IBM shares in Q1 2024, an estimated $34.6M.
  • IBM made up 0.46% of Credit Suisse's portfolio in Q1 2024, its #30 holding.
  • Credit Suisse first reported a position in IBM in Q2 2013 and has held it in 44 quarters since.
  • Credit Suisse's IBM position peaked at $626M in Q2 2013.
  • 2,802 funds tracked by Wall St. Rank held IBM as of Q1 2024.

Based on Credit Suisse's 13F filing for Q1 2024, filed 10 May 2024.