Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$38.8M Buy
887,400
+408,300
+85% +$18.7M 0.02% 580
2025
Q4
$17.8M Buy
479,100
+464,100
+3,094% +$17.5M 0.01% 785
2025
Q3
$503K Sell
15,000
-2,400
-14% -$58.1K ﹤0.01% 2102
2025
Q2
$395K Sell
17,400
-50,000
-74% -$1.04M ﹤0.01% 2282
2025
Q1
$1.51M Buy
67,400
+20,100
+42% +$440K ﹤0.01% 1579
2024
Q4
$948K Hold
47,300
﹤0.01% 1833
2024
Q3
$1.11M Buy
+47,300
New +$1.18M ﹤0.01% 1646
2024
Q1
Sell
-213,300
Closed -$10.8M 3137
2023
Q4
$10.8M Sell
213,300
-8,300
-4% -$337K 0.01% 868
2023
Q3
$7.83M Buy
221,600
+36,700
+20% +$1.28M 0.01% 921
2023
Q2
$6.17M Sell
184,900
-14,100
-7% -$443K 0.01% 977
2023
Q1
$6.51M Sell
199,000
-1,651,100
-89% -$46.8M 0.01% 1006
2022
Q4
$48.3M Buy
1,850,100
+430,100
+30% +$11.9M 0.06% 354
2022
Q3
$37M Buy
1,420,000
+1,294,400
+1,031% +$44.1M 0.06% 337
2022
Q2
$4.68M Sell
125,600
-29,400
-19% -$1.27M 0.01% 1222
2022
Q1
$7.68M Sell
155,000
-51,000
-25% -$2.53M 0.01% 1018
2021
Q4
$10.6M Sell
206,000
-3,960,600
-95% -$202M 0.01% 947
2021
Q3
$223M Buy
4,166,600
+4,029,600
+2,941% +$218M 0.22% 74
2021
Q2
$7.69M Sell
137,000
-1,453,700
-91% -$85.3M 0.01% 948
2021
Q1
$102M Buy
1,590,700
+824,300
+108% +$49.1M 0.12% 163
2020
Q4
$38.1M Buy
766,400
+601,400
+364% +$29.4M 0.05% 360
2020
Q3
$8.59M Sell
165,000
-819,100
-83% -$42.6M 0.01% 764
2020
Q2
$58.9M Buy
984,100
+426,400
+76% +$25.5M 0.11% 155
2020
Q1
$30.2M Sell
557,700
-41,800
-7% -$2.47M 0.07% 257
2019
Q4
$35.8M Sell
599,500
-1,088,100
-64% -$60.9M 0.06% 318
2019
Q3
$87M Buy
1,687,600
+117,800
+8% +$5.79M 0.16% 116
2019
Q2
$75.1M Sell
1,569,800
-537,700
-26% -$26.7M 0.14% 135
2019
Q1
$113M Buy
2,107,500
+34,000
+2% +$1.72M 0.21% 102
2018
Q4
$97.3M Buy
2,073,500
+605,500
+41% +$28.3M 0.18% 114
2018
Q3
$69.4M Buy
1,468,000
+398,400
+37% +$19.4M 0.11% 181
2018
Q2
$53.2M Buy
1,069,600
+410,700
+62% +$21.8M 0.09% 192
2018
Q1
$34.3M Buy
+658,900
New +$31.3M 0.05% 356
2017
Q4
Sell
-1,053,900
Closed -$40.1M 2211
2017
Q3
$40.1M Sell
1,053,900
-222,300
-17% -$7.9M 0.06% 286
2017
Q2
$43.1M Buy
1,276,200
+66,800
+6% +$2.39M 0.08% 245
2017
Q1
$43.6M Buy
1,209,400
+75,700
+7% +$2.74M 0.09% 213
2016
Q4
$41.1M Buy
1,133,700
+284,100
+33% +$10.2M 0.1% 232
2016
Q3
$32.1M Sell
849,600
-130,700
-13% -$4.63M 0.08% 290
2016
Q2
$32.2M Sell
980,300
-239,000
-20% -$7.49M 0.09% 267
2016
Q1
$39.4M Sell
1,219,300
-290,000
-19% -$8.9M 0.11% 210
2015
Q4
$52M Buy
1,509,300
+1,469,300
+3,673% +$49.7M 0.13% 180
2015
Q3
$1.21M Sell
40,000
-271,345
-87% -$7.85M ﹤0.01% 1180
2015
Q2
$9.47M Sell
311,345
-364,855
-54% -$11.8M 0.02% 634
2015
Q1
$21.1M Sell
676,200
-1,908,100
-74% -$64.4M 0.04% 426
2014
Q4
$93.8M Buy
2,584,300
+428,300
+20% +$14.9M 0.19% 112
2014
Q3
$75.1M Buy
2,156,000
+958,300
+80% +$32.4M 0.16% 133
2014
Q2
$37M Buy
1,197,700
+578,100
+93% +$15.8M 0.08% 255
2014
Q1
$16M Sell
619,600
-384,500
-38% -$9.6M 0.04% 427
2013
Q4
$26.1M Buy
1,004,100
+359,600
+56% +$8.7M 0.07% 327
2013
Q3
$14.8M Buy
+644,500
New +$14.8M 0.04% 472

Other funds holding INTC

HSBC Holdings's INTC Position: Q1 2026 in Review

HSBC Holdings reduced its Intel (INTC) stake by 3.2% in Q1 2026, selling an estimated $17.4M and leaving 11,428,210 shares worth $504M. The position accounts for 0.26% of the portfolio, ranked #68.

HSBC Holdings first reported a position in INTC in Q2 2013 and has held it in 52 quarters since. The position peaked at $751M in Q1 2024. 2,569 funds tracked by Wall St. Rank hold INTC as of Q1 2026.

  • HSBC Holdings held 11,428,210 shares of Intel worth $504M as of Q1 2026.
  • HSBC Holdings sold 379,233 Intel shares in Q1 2026, an estimated $17.4M.
  • Intel made up 0.26% of HSBC Holdings's portfolio in Q1 2026, its #68 holding.
  • HSBC Holdings first reported a position in Intel in Q2 2013 and has held it in 52 quarters since.
  • HSBC Holdings's Intel position peaked at $751M in Q1 2024.
  • 2,569 funds tracked by Wall St. Rank held Intel as of Q1 2026.

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