Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q2
$17.8M Sell
56,859
-3,865
-6% -$1.4M 0.08% 217
2026
Q1
$21.6M Sell
60,724
-9,096
-13% -$3.16M 0.11% 169
2025
Q4
$20.2M Buy
+69,820
New +$18.3M 0.1% 178
2025
Q1
$8.01M Buy
32,877
+699
+2% +$181K 0.04% 381
2024
Q4
$9.05M Sell
32,178
-24,669
-43% -$6.89M 0.05% 359
2024
Q3
$15.6M Buy
56,847
+2,064
+4% +$599K 0.07% 278
2024
Q2
$16.4M Buy
54,783
+1,613
+3% +$422K 0.08% 244
2024
Q1
$15.4M Sell
53,170
-840
-2% -$210K 0.08% 272
2023
Q4
$13.7M Buy
54,010
+1,697
+3% +$431K 0.07% 287
2023
Q3
$13.9M Buy
52,313
+6,634
+15% +$1.72M 0.08% 257
2023
Q2
$10.4M Hold
45,679
0.06% 332
2023
Q1
$10.4M Buy
45,679
+551
+1% +$112K 0.06% 332
2022
Q4
$7.82M Buy
45,128
+2,831
+7% +$470K 0.05% 359
2022
Q3
$6.28M Sell
42,297
-970
-2% -$205K 0.04% 380
2022
Q2
$9.81M Buy
43,267
+524
+1% +$112K 0.06% 350
2022
Q1
$9.89M Sell
42,743
-889
-2% -$209K 0.05% 372
2021
Q4
$11.3M Sell
43,632
-1,029
-2% -$247K 0.05% 363
2021
Q3
$9.79M Buy
44,661
+1,061
+2% +$288K 0.05% 355
2021
Q2
$13M Sell
43,600
-28
-0.1% -$8.31K 0.07% 310
2021
Q1
$12.4M Buy
43,628
+756
+2% +$195K 0.07% 302
2020
Q4
$11.1M Buy
42,872
+1,446
+3% +$401K 0.06% 313
2020
Q3
$10.4M Buy
41,426
+2,343
+6% +$469K 0.06% 295
2020
Q2
$5.48M Buy
39,083
+594
+2% +$74.7K 0.03% 369
2020
Q1
$5.82M Hold
38,489
0.03% 425
2019
Q4
$5.82M Buy
38,489
+289
+0.8% +$44.5K 0.03% 425
2019
Q3
$5.56M Sell
38,200
-19,507
-34% -$3.15M 0.03% 426
2019
Q2
$9.47M Sell
57,707
-4,627
-7% -$810K 0.04% 380
2019
Q1
$11.3M Sell
62,334
-46
-0.1% -$8.13K 0.05% 355
2018
Q4
$10.1M Sell
62,380
-343
-0.5% -$72.5K 0.05% 350
2018
Q3
$15.1M Sell
62,723
-120
-0.2% -$29.1K 0.06% 342
2018
Q2
$14.3M Sell
62,843
-18,127
-22% -$4.49M 0.06% 326
2018
Q1
$20.2M Hold
80,970
0.08% 303
2017
Q4
$20.2M Sell
80,970
-2,006
-2% -$459K 0.08% 303
2017
Q3
$18.7M Buy
82,976
+1,985
+2% +$423K 0.08% 301
2017
Q2
$15.8M Hold
80,991
0.08% 320
2017
Q1
$15.8M Sell
80,991
-8,797
-10% -$1.68M 0.08% 320
2016
Q4
$16.7M Buy
89,788
+5,385
+6% +$988K 0.09% 311
2016
Q3
$14.7M Buy
84,403
+835
+1% +$137K 0.08% 322
2016
Q2
$12.7M Buy
83,568
+6,728
+9% +$1.09M 0.08% 333
2016
Q1
$12.5M Buy
76,840
+1,118
+1% +$156K 0.08% 318
2015
Q4
$11.3M Sell
75,722
-11,807
-13% -$1.83M 0.08% 328
2015
Q3
$12.6M Buy
87,529
+16,643
+23% +$2.66M 0.09% 306
2015
Q2
$12.1M Sell
70,886
-5,822
-8% -$1.01M 0.09% 324
2015
Q1
$12.7M Sell
76,708
-37,640
-33% -$6.54M 0.09% 317
2014
Q4
$19.9M Sell
114,348
-15,807
-12% -$2.67M 0.16% 213
2014
Q3
$21M Sell
130,155
-1,220
-0.9% -$185K 0.18% 164
2014
Q2
$19.9M Sell
131,375
-56,980
-30% -$7.96M 0.18% 161
2014
Q1
$25M Sell
188,355
-9,767
-5% -$1.33M 0.23% 98
2013
Q4
$28.5M Buy
198,122
+14,736
+8% +$1.95M 0.29% 73
2013
Q3
$20.9M Buy
183,386
+6,949
+4% +$750K 0.25% 92
2013
Q2
$17.4M Buy
+176,437
New +$17.1M 0.22% 96

Other funds holding FDX

Glenmede Trust's FDX Position: Q2 2026 in Review

Glenmede Trust reduced its FedEx (FDX) stake by 6.4% in Q2 2026, selling an estimated $1.4M and leaving 56,859 shares worth $17.8M. The position accounts for 0.08% of the portfolio, ranked #217.

Glenmede Trust first reported a position in FDX in Q2 2013 and has held it in 51 quarters since. The position peaked at $28.5M in Q4 2013. 1,959 funds tracked by Wall St. Rank hold FDX as of Q2 2026.

  • Glenmede Trust held 56,859 shares of FedEx worth $17.8M as of Q2 2026.
  • Glenmede Trust sold 3,865 FedEx shares in Q2 2026, an estimated $1.4M.
  • FedEx made up 0.08% of Glenmede Trust's portfolio in Q2 2026, its #217 holding.
  • Glenmede Trust first reported a position in FedEx in Q2 2013 and has held it in 51 quarters since.
  • Glenmede Trust's FedEx position peaked at $28.5M in Q4 2013.
  • 1,959 funds tracked by Wall St. Rank held FedEx as of Q2 2026.

Based on Glenmede Trust's 13F filing for Q2 2026, filed 10 Aug 2026.