Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$102M Sell
422,900
-28,300
-6% -$7.66M 0.05% 327
2025
Q4
$134M Sell
451,200
-132,200
-23% -$39.6M 0.07% 261
2025
Q3
$165M Buy
583,400
+549,600
+1,626% +$144M 0.09% 206
2025
Q2
$9.91M Sell
33,800
-3,600
-10% -$927K 0.01% 913
2025
Q1
$9.27M Buy
37,400
+20,800
+125% +$5.09M 0.01% 915
2024
Q4
$3.64M Sell
16,600
-12,900
-44% -$2.87M ﹤0.01% 1252
2024
Q3
$6.5M Sell
29,500
-66,200
-69% -$13M ﹤0.01% 1033
2024
Q2
$16.5M Sell
95,700
-199,700
-68% -$34.7M 0.01% 731
2024
Q1
$56.4M Buy
295,400
+238,300
+417% +$43.5M 0.04% 433
2023
Q4
$9.32M Sell
57,100
-35,000
-38% -$5.29M 0.01% 917
2023
Q3
$13M Buy
92,100
+29,300
+47% +$4.17M 0.01% 755
2023
Q2
$8.42M Sell
62,800
-96,100
-60% -$12.4M 0.01% 865
2023
Q1
$20.7M Buy
158,900
+6,200
+4% +$829K 0.02% 603
2022
Q4
$21.4M Buy
152,700
+29,800
+24% +$4.11M 0.02% 632
2022
Q3
$14.7M Buy
122,900
+66,600
+118% +$8.74M 0.02% 672
2022
Q2
$7.99M Buy
56,300
+28,100
+100% +$3.79M 0.01% 1003
2022
Q1
$3.68M Sell
28,200
-32,400
-53% -$4.23M ﹤0.01% 1307
2021
Q4
$8.21M Sell
60,600
-1,742
-3% -$218K 0.01% 1054
2021
Q3
$8.28M Sell
62,342
-941
-1% -$126K 0.01% 953
2021
Q2
$8.85M Buy
63,283
+39,016
+161% +$5.34M 0.01% 898
2021
Q1
$3.09M Sell
24,267
-20,920
-46% -$2.5M ﹤0.01% 1167
2020
Q4
$5.44M Sell
45,187
-4,184
-8% -$484K 0.01% 992
2020
Q3
$5.74M Buy
49,371
+9,414
+24% +$1.11M 0.01% 906
2020
Q2
$4.61M Sell
39,957
-45,501
-53% -$5.28M 0.01% 883
2020
Q1
$9.1M Sell
85,458
-46,024
-35% -$5.82M 0.02% 620
2019
Q4
$16.9M Sell
131,482
-162,444
-55% -$21.1M 0.03% 586
2019
Q3
$40.9M Buy
293,926
+16,945
+6% +$2.29M 0.08% 277
2019
Q2
$36.5M Sell
276,981
-20,188
-7% -$2.65M 0.07% 290
2019
Q1
$40.1M Buy
297,169
+88,806
+43% +$11.3M 0.07% 273
2018
Q4
$22.6M Buy
208,363
+24,476
+13% +$2.94M 0.04% 450
2018
Q3
$26.6M Sell
183,887
-13,702
-7% -$1.91M 0.04% 443
2018
Q2
$26.4M Buy
197,589
+115,792
+142% +$16.1M 0.05% 398
2018
Q1
$11.9M Buy
81,797
+23,744
+41% +$3.59M 0.02% 749
2017
Q4
$8.52M Sell
58,053
-164,640
-74% -$23.9M 0.01% 717
2017
Q3
$30.9M Buy
222,693
+76,462
+52% +$10.7M 0.05% 391
2017
Q2
$21.5M Buy
146,231
+40,585
+38% +$6.12M 0.04% 482
2017
Q1
$17.6M Sell
105,646
-82,111
-44% -$13.8M 0.04% 511
2016
Q4
$29.8M Buy
187,757
+104,705
+126% +$15.9M 0.07% 338
2016
Q3
$12.6M Buy
83,052
+43,827
+112% +$6.65M 0.03% 589
2016
Q2
$5.69M Sell
39,225
-105
-0.3% -$15K 0.02% 865
2016
Q1
$5.7M Sell
39,330
-97,801
-71% -$12.5M 0.02% 848
2015
Q4
$18.1M Buy
137,131
+94,140
+219% +$12.6M 0.04% 485
2015
Q3
$5.96M Buy
+42,991
New +$6.35M 0.02% 751
2015
Q2
Sell
-91,943
Closed -$14.2M 2169
2015
Q1
$14.2M Sell
91,943
-42,363
-32% -$6.43M 0.03% 547
2014
Q4
$20.6M Sell
134,306
-13,598
-9% -$2.16M 0.04% 443
2014
Q3
$26.8M Buy
147,904
+59,622
+68% +$10.9M 0.06% 347
2014
Q2
$15.3M Buy
88,282
+58,785
+199% +$10.6M 0.03% 480
2014
Q1
$5.43M Sell
29,497
-146,865
-83% -$25.9M 0.01% 771
2013
Q4
$31.6M Buy
176,362
+20,508
+13% +$3.54M 0.08% 272
2013
Q3
$27.6M Buy
+155,854
New +$28.3M 0.08% 299

Other funds holding IBM

HSBC Holdings's IBM Position: Q1 2026 in Review

HSBC Holdings reduced its IBM (IBM) stake by 1.3% in Q1 2026, selling an estimated $7.23M and leaving 2,108,392 shares worth $511M. The position accounts for 0.27% of the portfolio, ranked #66.

HSBC Holdings first reported a position in IBM in Q2 2013 and has held it in 52 quarters since. The position peaked at $713M in Q2 2025. 3,462 funds tracked by Wall St. Rank hold IBM as of Q1 2026.

  • HSBC Holdings held 2,108,392 shares of IBM worth $511M as of Q1 2026.
  • HSBC Holdings sold 26,710 IBM shares in Q1 2026, an estimated $7.23M.
  • IBM made up 0.27% of HSBC Holdings's portfolio in Q1 2026, its #66 holding.
  • HSBC Holdings first reported a position in IBM in Q2 2013 and has held it in 52 quarters since.
  • HSBC Holdings's IBM position peaked at $713M in Q2 2025.
  • 3,462 funds tracked by Wall St. Rank held IBM as of Q1 2026.

Based on HSBC Holdings's 13F filing for Q1 2026, filed 30 Apr 2026.