Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$16.4M Sell
348,100
-44,300
-11% -$1.74M 0.11% 231
2025
Q4
$13.6M Buy
392,400
+22,100
+6% +$775K 0.09% 260
2025
Q3
$12.8M Buy
370,300
+11,150
+3% +$373K 0.09% 276
2025
Q2
$10.7M Buy
359,150
+350
+0.1% +$10.3K 0.08% 301
2025
Q1
$12.1M Buy
358,800
+8,700
+2% +$284K 0.09% 273
2024
Q4
$10.3M Sell
350,100
-4,500
-1% -$135K 0.08% 292
2024
Q3
$11.1M Sell
354,600
-5,450
-2% -$184K 0.08% 295
2024
Q2
$13M Buy
360,050
+7,850
+2% +$294K 0.1% 264
2024
Q1
$13.3M Sell
352,200
-300
-0.1% -$10.8K 0.1% 266
2023
Q4
$12.5M Sell
352,500
-24,200
-6% -$886K 0.1% 268
2023
Q3
$14.6M Sell
376,700
-6,800
-2% -$252K 0.12% 230
2023
Q2
$13.5M Sell
383,500
-1,775
-0.5% -$65.7K 0.1% 252
2023
Q1
$14.6M Buy
385,275
+21,400
+6% +$799K 0.11% 245
2022
Q4
$12.7M Sell
363,875
-116,025
-24% -$3.86M 0.1% 271
2022
Q3
$13.7M Buy
479,900
+2,050
+0.4% +$61K 0.11% 241
2022
Q2
$13.5M Sell
477,850
-21,750
-4% -$666K 0.1% 268
2022
Q1
$14.7M Sell
499,600
-28,400
-5% -$866K 0.1% 270
2021
Q4
$14.1M Sell
528,000
-68,000
-11% -$1.89M 0.09% 284
2021
Q3
$16.3M Sell
596,000
-15,500
-3% -$388K 0.11% 243
2021
Q2
$16.2M Buy
611,500
+10,600
+2% +$278K 0.1% 254
2021
Q1
$14.6M Sell
600,900
-39,600
-6% -$954K 0.1% 265
2020
Q4
$13.1M Sell
640,500
-113,000
-15% -$2.13M 0.09% 273
2020
Q3
$13.2M Sell
753,500
-52,050
-6% -$1.13M 0.1% 254
2020
Q2
$18.8M Buy
805,550
+58,500
+8% +$1.4M 0.15% 174
2020
Q1
$18.2M Sell
747,050
-28,950
-4% -$936K 0.16% 163
2019
Q4
$29.3M Hold
776,000
0.19% 152
2019
Q3
$29.5M Sell
776,000
-43,592
-5% -$1.66M 0.19% 155
2019
Q2
$33.6M Hold
819,592
0.22% 131
2019
Q1
$35.2M Sell
819,592
-55,044
-6% -$2.26M 0.22% 128
2018
Q4
$32.1M Sell
874,636
-13,211
-1% -$527K 0.22% 127
2018
Q3
$39.1M Sell
887,847
-18,116
-2% -$758K 0.22% 136
2018
Q2
$38.9M Sell
905,963
-91,695
-9% -$3.85M 0.23% 128
2018
Q1
$37.6M Sell
997,658
-15,036
-1% -$566K 0.22% 132
2017
Q4
$39M Buy
1,012,694
+1,073
+0.1% +$38.9K 0.22% 125
2017
Q3
$35.1M Sell
1,011,621
-98,524
-9% -$3.13M 0.2% 150
2017
Q2
$34.1M Sell
1,110,145
-56,459
-5% -$1.76M 0.2% 150
2017
Q1
$35.1M Sell
1,166,604
-74,221
-6% -$2.26M 0.21% 153
2016
Q4
$39.7M Sell
1,240,825
-157,441
-11% -$4.74M 0.24% 132
2016
Q3
$41.4M Sell
1,398,266
-16,045
-1% -$466K 0.25% 122
2016
Q2
$42.3M Buy
1,414,311
+127,763
+10% +$3.44M 0.25% 112
2016
Q1
$32.7M Buy
1,286,548
+309,604
+32% +$7.81M 0.2% 150
2015
Q4
$25.7M Sell
976,944
-99,834
-9% -$2.84M 0.16% 182
2015
Q3
$27.7M Sell
1,076,778
-228,191
-17% -$6.69M 0.16% 183
2015
Q2
$43.9M Sell
1,304,969
-141,291
-10% -$4.95M 0.23% 131
2015
Q1
$46.9M Sell
1,446,260
-138,479
-9% -$4.53M 0.24% 130
2014
Q4
$50.1M Sell
1,584,739
-51,396
-3% -$1.73M 0.24% 124
2014
Q3
$58.8M Buy
1,636,135
+75,798
+5% +$3M 0.3% 101
2014
Q2
$67.3M Hold
1,560,337
0.33% 86
2014
Q1
$61.4M Sell
1,560,337
-4,890
-0.3% -$193K 0.32% 90
2013
Q4
$62.2M Sell
1,565,227
-776,073
-33% -$28.9M 0.33% 84
2013
Q3
$80.5M Buy
2,341,300
+11,614
+0.5% +$398K 0.46% 39
2013
Q2
$79.5M Buy
+2,329,686
New +$81.1M 0.48% 35

Other funds holding BP

Gabelli Funds's BP Position: Q1 2026 in Review

Gabelli Funds reduced its BP (BP) stake by 11% in Q1 2026, selling an estimated $1.74M and leaving 348,100 shares worth $16.4M. The position accounts for 0.11% of the portfolio, ranked #231.

Gabelli Funds first reported a position in BP in Q2 2013 and has held it in 52 quarters since. The position peaked at $80.5M in Q3 2013. 1,255 funds tracked by Wall St. Rank hold BP as of Q1 2026.

  • Gabelli Funds held 348,100 shares of BP worth $16.4M as of Q1 2026.
  • Gabelli Funds sold 44,300 BP shares in Q1 2026, an estimated $1.74M.
  • BP made up 0.11% of Gabelli Funds's portfolio in Q1 2026, its #231 holding.
  • Gabelli Funds first reported a position in BP in Q2 2013 and has held it in 52 quarters since.
  • Gabelli Funds's BP position peaked at $80.5M in Q3 2013.
  • 1,255 funds tracked by Wall St. Rank held BP as of Q1 2026.

Based on Gabelli Funds's 13F filing for Q1 2026, filed 14 May 2026.