Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$10.3M Sell
227,344
-228,051
-50% -$11M 0.05% 324
2025
Q4
$26.6M Buy
+455,395
New +$29.6M 0.13% 140
2025
Q1
$43.7M Sell
670,161
-143,614
-18% -$11.2M 0.23% 93
2024
Q4
$69.5M Sell
813,775
-8,549
-1% -$719K 0.35% 68
2024
Q3
$64.2M Buy
822,324
+13,342
+2% +$892K 0.31% 76
2024
Q2
$46.9M Sell
808,982
-33,771
-4% -$2.15M 0.24% 93
2024
Q1
$56.5M Sell
842,753
-284,014
-25% -$17.4M 0.28% 86
2023
Q4
$69.2M Buy
1,126,767
+388,840
+53% +$22.3M 0.36% 70
2023
Q3
$43.1M Sell
737,927
-41,963
-5% -$2.73M 0.25% 100
2023
Q2
$59.2M Sell
779,890
-203
-0% -$13.8K 0.34% 79
2023
Q1
$59.2M Sell
780,093
-109,185
-12% -$8.41M 0.34% 79
2022
Q4
$63.3M Buy
889,278
+66,724
+8% +$5.34M 0.37% 75
2022
Q3
$70.8M Buy
822,554
+471,101
+134% +$41.8M 0.45% 55
2022
Q2
$24.5M Sell
351,453
-26,831
-7% -$2.33M 0.14% 164
2022
Q1
$43.7M Sell
378,284
-93,357
-20% -$12.4M 0.21% 112
2021
Q4
$88.9M Sell
471,641
-225,370
-32% -$48.8M 0.42% 55
2021
Q3
$181M Sell
697,011
-16,301
-2% -$4.62M 0.94% 16
2021
Q2
$208M Sell
713,312
-20,862
-3% -$5.51M 1.08% 12
2021
Q1
$178M Sell
734,174
-119,848
-14% -$30.3M 0.96% 14
2020
Q4
$200M Sell
854,022
-139,399
-14% -$28.9M 1.1% 11
2020
Q3
$196M Sell
993,421
-165,435
-14% -$31.2M 1.17% 11
2020
Q2
$202M Sell
1,158,856
-720,195
-38% -$99.5M 1.23% 10
2020
Q1
$203M Hold
1,879,051
0.93% 13
2019
Q4
$203M Sell
1,879,051
-2,491
-0.1% -$260K 0.93% 13
2019
Q3
$195K Sell
1,881,542
-11,074
-0.6% -$1.22M 0.89% 11
2019
Q2
$217K Sell
1,892,616
-159,456
-8% -$17.7M 0.95% 9
2019
Q1
$213K Sell
2,052,072
-174,994
-8% -$16.6M 0.96% 8
2018
Q4
$187K Buy
2,227,066
+145,743
+7% +$12.1M 0.91% 9
2018
Q3
$183M Sell
2,081,323
-523,192
-20% -$46.1M 0.73% 16
2018
Q2
$217M Sell
2,604,515
-50,966
-2% -$4.06M 0.96% 7
2018
Q1
$195M Hold
2,655,481
0.81% 10
2017
Q4
$195M Sell
2,655,481
-335,399
-11% -$24.3M 0.81% 10
2017
Q3
$192M Buy
2,990,880
+150,161
+5% +$9M 0.84% 9
2017
Q2
$122M Hold
2,840,719
0.58% 25
2017
Q1
$122M Sell
2,840,719
-24,003
-0.8% -$1M 0.58% 25
2016
Q4
$113M Sell
2,864,722
-35,479
-1% -$1.43M 0.61% 23
2016
Q3
$119M Buy
2,900,201
+411,387
+17% +$15.8M 0.67% 21
2016
Q2
$90.9M Buy
2,488,814
+210,522
+9% +$8.05M 0.55% 26
2016
Q1
$87.9M Buy
2,278,292
+96,418
+4% +$3.48M 0.57% 28
2015
Q4
$79M Buy
2,181,874
+203,430
+10% +$7.18M 0.54% 33
2015
Q3
$61.4M Buy
+1,978,444
New +$70.9M 0.45% 47

Other funds holding PYPL

Glenmede Trust's PYPL Position: Q1 2026 in Review

Glenmede Trust reduced its PayPal (PYPL) stake by 50% in Q1 2026, selling an estimated $11M and leaving 227,344 shares worth $10.3M. The position accounts for 0.05% of the portfolio, ranked #324.

Glenmede Trust first reported a position in PYPL in Q3 2015 and has held it in 41 quarters since. The position peaked at $217M in Q2 2018. 1,492 funds tracked by Wall St. Rank hold PYPL as of Q1 2026.

  • Glenmede Trust held 227,344 shares of PayPal worth $10.3M as of Q1 2026.
  • Glenmede Trust sold 228,051 PayPal shares in Q1 2026, an estimated $11M.
  • PayPal made up 0.05% of Glenmede Trust's portfolio in Q1 2026, its #324 holding.
  • Glenmede Trust first reported a position in PayPal in Q3 2015 and has held it in 41 quarters since.
  • Glenmede Trust's PayPal position peaked at $217M in Q2 2018.
  • 1,492 funds tracked by Wall St. Rank held PayPal as of Q1 2026.

Based on Glenmede Trust's 13F filing for Q1 2026, filed 26 May 2026.