Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$17.2M Sell
71,500
-12,800
-15% -$3.46M 0.01% 784
2025
Q4
$25M Buy
+84,300
New +$25.2M 0.01% 678
2025
Q3
Sell
-41,000
Closed -$12M 2902
2025
Q2
$12M Buy
41,000
+29,100
+245% +$7.5M 0.01% 846
2025
Q1
$2.94M Sell
11,900
-32,800
-73% -$8.02M ﹤0.01% 1304
2024
Q4
$9.8M Buy
44,700
+30,600
+217% +$6.81M 0.01% 938
2024
Q3
$3.1M Hold
14,100
﹤0.01% 1275
2024
Q2
$2.44M Buy
14,100
+13,000
+1,182% +$2.26M ﹤0.01% 1320
2024
Q1
$210K Sell
1,100
-39,700
-97% -$7.24M ﹤0.01% 2663
2023
Q4
$6.66M Hold
40,800
0.01% 1042
2023
Q3
$5.72M Buy
40,800
+14,100
+53% +$2.01M 0.01% 1037
2023
Q2
$3.58M Hold
26,700
﹤0.01% 1193
2023
Q1
$3.48M Sell
26,700
-174,200
-87% -$23.3M ﹤0.01% 1272
2022
Q4
$28.1M Buy
200,900
+127,900
+175% +$17.6M 0.03% 537
2022
Q3
$8.73M Buy
73,000
+23,900
+49% +$3.14M 0.01% 943
2022
Q2
$6.95M Buy
49,100
+29,100
+146% +$3.93M 0.01% 1052
2022
Q1
$2.6M Sell
20,000
-680,000
-97% -$88.7M ﹤0.01% 1481
2021
Q4
$94.1M Buy
+700,000
New +$87.8M 0.09% 206
2021
Q2
Sell
-1,255
Closed -$160K 2997
2021
Q1
$160K Hold
1,255
﹤0.01% 2578
2020
Q4
$151K Buy
1,255
+209
+20% +$24.2K ﹤0.01% 2886
2020
Q3
$122K Buy
+1,046
New +$123K ﹤0.01% 2593
2019
Q4
Sell
-452,604
Closed -$62.9M 3105
2019
Q3
$62.9M Buy
452,604
+192,150
+74% +$25.9M 0.12% 171
2019
Q2
$34.3M Sell
260,454
-275,307
-51% -$36.2M 0.07% 310
2019
Q1
$72.3M Buy
535,761
+45,710
+9% +$5.83M 0.13% 155
2018
Q4
$53.3M Buy
490,051
+189,535
+63% +$22.7M 0.1% 203
2018
Q3
$43.4M Buy
300,516
+58,576
+24% +$8.19M 0.07% 277
2018
Q2
$32.3M Buy
241,940
+86,714
+56% +$12.1M 0.06% 335
2018
Q1
$22.8M Buy
155,226
+136,398
+724% +$20.6M 0.03% 493
2017
Q4
$2.76M Sell
18,828
-252,400
-93% -$36.7M ﹤0.01% 1006
2017
Q3
$37.6M Buy
271,228
+46,024
+20% +$6.41M 0.06% 323
2017
Q2
$33.1M Buy
225,204
+101,044
+81% +$15.2M 0.06% 327
2017
Q1
$20.7M Sell
124,160
-30,543
-20% -$5.12M 0.04% 464
2016
Q4
$24.6M Buy
154,703
+46,547
+43% +$7.09M 0.06% 409
2016
Q3
$16.4M Sell
108,156
-50,731
-32% -$7.7M 0.04% 494
2016
Q2
$23.1M Buy
158,887
+83,366
+110% +$11.9M 0.06% 362
2016
Q1
$10.9M Sell
75,521
-235,455
-76% -$30.1M 0.03% 611
2015
Q4
$40.9M Buy
310,976
+262,023
+535% +$35.2M 0.1% 232
2015
Q3
$6.79M Buy
+48,953
New +$7.23M 0.02% 712
2015
Q2
Sell
-70,396
Closed -$10.8M 2170
2015
Q1
$10.8M Sell
70,396
-69,663
-50% -$10.6M 0.02% 652
2014
Q4
$21.5M Buy
140,059
+30,857
+28% +$4.91M 0.04% 429
2014
Q3
$19.8M Buy
109,202
+42,363
+63% +$7.72M 0.04% 439
2014
Q2
$11.6M Sell
66,839
-27,929
-29% -$5.03M 0.03% 566
2014
Q1
$17.4M Sell
94,768
-30,603
-24% -$5.39M 0.04% 413
2013
Q4
$22.5M Buy
125,371
+50,896
+68% +$8.78M 0.06% 377
2013
Q3
$13.2M Buy
+74,475
New +$13.5M 0.04% 518

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.