Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$103M Sell
1,805,346
-79,239
-4% -$4.49M 3.71% 5
2025
Q4
$101M Sell
1,884,585
-52,470
-3% -$2.74M 3.72% 4
2025
Q3
$96.8M Buy
1,937,055
+17,490
+0.9% +$887K 3.71% 3
2025
Q2
$98.9M Buy
1,919,565
+23,135
+1% +$1.18M 4% 3
2025
Q1
$101M Buy
1,896,430
+39,427
+2% +$2.07M 4.18% 3
2024
Q4
$88.9M Buy
1,857,003
+235,977
+15% +$11M 3.64% 4
2024
Q3
$72.1M Buy
1,621,026
+22,473
+1% +$960K 3.58% 6
2024
Q2
$68.1M Buy
1,598,553
+54,166
+4% +$2.23M 3.6% 5
2024
Q1
$64.2M Sell
1,544,387
-107,250
-6% -$4.16M 3.62% 5
2023
Q4
$60.6M Buy
1,651,637
+128,911
+8% +$4.63M 3.67% 5
2023
Q3
$54.2M Sell
1,522,726
-5,810
-0.4% -$203K 3.51% 7
2023
Q2
$51.9M Buy
1,528,536
+28,120
+2% +$960K 3.42% 8
2023
Q1
$51.7M Buy
1,500,416
+235,450
+19% +$8.09M 3.48% 5
2022
Q4
$41.5M Buy
1,264,966
+10,220
+0.8% +$334K 2.86% 9
2022
Q3
$37.7M Sell
1,254,746
-74,399
-6% -$2.34M 2.83% 7
2022
Q2
$38.7M Sell
1,329,145
-43,666
-3% -$1.4M 2.86% 6
2022
Q1
$45.5M Sell
1,372,811
-82,334
-6% -$2.66M 2.81% 6
2021
Q4
$43.1M Sell
1,455,145
-85,255
-6% -$2.56M 2.71% 8
2021
Q3
$43.9M Sell
1,540,400
-64,006
-4% -$1.81M 2.9% 6
2021
Q2
$47.5M Sell
1,604,406
-34,010
-2% -$963K 3.07% 5
2021
Q1
$42M Sell
1,638,416
-201,645
-11% -$4.95M 3.1% 5
2020
Q4
$39.8M Sell
1,840,061
-184,212
-9% -$3.63M 3.13% 4
2020
Q3
$31.9M Buy
2,024,273
+121,151
+6% +$2.19M 2.86% 6
2020
Q2
$32.9M Buy
1,903,122
+737,762
+63% +$12.6M 2.97% 7
2020
Q1
$13.5M Sell
1,165,360
-2,749,912
-70% -$56.3M 1.37% 20
2019
Q4
$99.7M Sell
3,915,272
-1,471,823
-27% -$37.5M 5.04% 3
2019
Q3
$151M Buy
5,387,095
+4,355,775
+422% +$128M 6.47% 3
2019
Q2
$33.2M Sell
1,031,320
-218,484
-17% -$6.96M 1.33% 19
2019
Q1
$41.1M Sell
1,249,804
-129,880
-9% -$4.36M 1.61% 15
2018
Q4
$41.8M Sell
1,379,684
-216,054
-14% -$7.21M 1.81% 14
2018
Q3
$55.3M Sell
1,595,738
-881,248
-36% -$31.6M 1.72% 19
2018
Q2
$84.6M Sell
2,476,986
-19,832
-0.8% -$690K 2.67% 11
2018
Q1
$82.5M Buy
2,496,818
+677,919
+37% +$24.3M 2.85% 10
2017
Q4
$64.5M Sell
1,818,899
-9,550
-0.5% -$336K 2.02% 14
2017
Q3
$64M Buy
1,828,449
+32,636
+2% +$1.13M 1.93% 15
2017
Q2
$60M Buy
1,795,813
+24,950
+1% +$863K 1.72% 16
2017
Q1
$63.9M Buy
1,770,863
+753,584
+74% +$27.8M 1.73% 18
2016
Q4
$35.2M Buy
1,017,279
+907,610
+828% +$29.5M 0.96% 27
2016
Q3
$3.71M Buy
109,669
+2,305
+2% +$76K 0.11% 125
2016
Q2
$3.61M Buy
107,364
+95,400
+797% +$3.03M 0.11% 124
2016
Q1
$355K Hold
11,964
0.01% 244
2015
Q4
$471K Buy
+11,964
New +$452K 0.02% 218
2013
Q4
Sell
-132,970
Closed -$4.84M 241
2013
Q3
$4.84M Sell
132,970
-4,900
-4% -$177K 0.17% 104
2013
Q2
$5.08M Buy
+137,870
New +$5.12M 0.19% 98

Other funds holding MPLX

Eagle Global Advisors's MPLX Position: Q1 2026 in Review

Eagle Global Advisors reduced its MPLX (MPLX) stake by 4.2% in Q1 2026, selling an estimated $4.49M and leaving 1,805,346 shares worth $103M. The position accounts for 3.71% of the portfolio, ranked #5.

Eagle Global Advisors first reported a position in MPLX in Q2 2013 and has held it in 44 quarters since. The position peaked at $151M in Q3 2019. 644 funds tracked by Wall St. Rank hold MPLX as of Q1 2026.

  • Eagle Global Advisors held 1,805,346 shares of MPLX worth $103M as of Q1 2026.
  • Eagle Global Advisors sold 79,239 MPLX shares in Q1 2026, an estimated $4.49M.
  • MPLX made up 3.71% of Eagle Global Advisors's portfolio in Q1 2026, its #5 holding.
  • Eagle Global Advisors first reported a position in MPLX in Q2 2013 and has held it in 44 quarters since.
  • Eagle Global Advisors's MPLX position peaked at $151M in Q3 2019.
  • 644 funds tracked by Wall St. Rank held MPLX as of Q1 2026.

Based on Eagle Global Advisors's 13F filing for Q1 2026, filed 15 May 2026.