Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$23.7M Buy
+165,400
New +$26.3M 0.01% 695
2024
Q2
Sell
-66,976
Closed -$5.94M 3091
2024
Q1
$5.94M Buy
66,976
+9,927
+17% +$823K ﹤0.01% 1040
2023
Q4
$5.21M Buy
+57,049
New +$4.58M ﹤0.01% 1131
2023
Q2
Sell
-11,960
Closed -$1.04M 2675
2023
Q1
$1.04M Sell
11,960
-9,927
-45% -$936K ﹤0.01% 1745
2022
Q4
$2.18M Buy
+21,887
New +$2.23M ﹤0.01% 1650
2022
Q3
Sell
-9,568
Closed -$1.04M 3131
2022
Q2
$1.04M Buy
9,568
+4,545
+90% +$549K ﹤0.01% 1904
2022
Q1
$625K Sell
5,023
-76,783
-94% -$10.2M ﹤0.01% 2250
2021
Q4
$12.2M Sell
81,806
-25,116
-23% -$3.74M 0.01% 872
2021
Q3
$15.8M Buy
106,922
+42,936
+67% +$6.96M 0.02% 702
2021
Q2
$10.6M Sell
63,986
-5,023
-7% -$838K 0.01% 831
2021
Q1
$11.2M Sell
69,009
-25,595
-27% -$3.83M 0.01% 768
2020
Q4
$13.7M Buy
94,604
+47,003
+99% +$6.67M 0.02% 693
2020
Q3
$6.4M Buy
47,601
+34,445
+262% +$4.63M 0.01% 861
2020
Q2
$1.72M Buy
+13,156
New +$1.66M ﹤0.01% 1220
2020
Q1
Sell
-82,285
Closed -$12.1M 2902
2019
Q4
$12.1M Sell
82,285
-50,830
-38% -$7.12M 0.02% 736
2019
Q3
$18.3M Buy
133,115
+36,239
+37% +$5.07M 0.03% 569
2019
Q2
$14M Buy
96,876
+35,402
+58% +$5.45M 0.03% 663
2019
Q1
$10.7M Sell
61,474
-27,269
-31% -$4.59M 0.02% 774
2018
Q4
$14.1M Buy
88,743
+52,624
+146% +$8.74M 0.03% 646
2018
Q3
$6.36M Buy
36,119
+4,545
+14% +$783K 0.01% 1031
2018
Q2
$5.19M Sell
31,574
-8,970
-22% -$1.53M 0.01% 1103
2018
Q1
$7.44M Buy
+40,544
New +$8.03M 0.01% 941
2017
Q4
Sell
-138,018
Closed -$24.2M 2277
2017
Q3
$24.2M Buy
138,018
+49,634
+56% +$8.6M 0.04% 466
2017
Q2
$15.4M Sell
88,384
-28,346
-24% -$4.74M 0.03% 595
2017
Q1
$18.7M Sell
116,730
-4,066
-3% -$624K 0.04% 491
2016
Q4
$18M Buy
120,796
+45,926
+61% +$6.63M 0.04% 499
2016
Q3
$11M Sell
74,870
-17,342
-19% -$2.59M 0.03% 636
2016
Q2
$13.5M Buy
92,212
+39,947
+76% +$5.63M 0.04% 548
2016
Q1
$7.28M Sell
52,265
-38,631
-43% -$4.96M 0.02% 761
2015
Q4
$11.5M Buy
90,896
+42,338
+87% +$5.44M 0.03% 634
2015
Q3
$5.76M Sell
48,558
-377,906
-89% -$46.5M 0.01% 767
2015
Q2
$55M Buy
426,464
+363,435
+577% +$48.7M 0.11% 200
2015
Q1
$8.7M Sell
63,029
-35,761
-36% -$4.93M 0.02% 724
2014
Q4
$13.6M Buy
98,790
+47,362
+92% +$6.08M 0.03% 567
2014
Q3
$6.09M Buy
51,428
+19,734
+62% +$2.37M 0.01% 807
2014
Q2
$3.8M Buy
31,694
+16,983
+115% +$1.99M 0.01% 931
2014
Q1
$1.67M Sell
14,711
-46,883
-76% -$5.21M ﹤0.01% 1116
2013
Q4
$7.22M Sell
61,594
-34,684
-36% -$3.69M 0.02% 741
2013
Q3
$9.61M Buy
+96,278
New +$9.36M 0.03% 615

Other funds holding MMM

HSBC Holdings's MMM Position: Q1 2026 in Review

HSBC Holdings increased its 3M (MMM) stake by 9.3% in Q1 2026, buying an estimated $20.3M and bringing the position to 1,501,817 shares worth $217M. The position accounts for 0.11% of the portfolio, ranked #173.

HSBC Holdings first reported a position in MMM in Q2 2013 and has held it in 52 quarters since. The position peaked at $457M in Q4 2017. 2,156 funds tracked by Wall St. Rank hold MMM as of Q1 2026.

  • HSBC Holdings held 1,501,817 shares of 3M worth $217M as of Q1 2026.
  • HSBC Holdings bought 127,296 3M shares in Q1 2026, an estimated $20.3M.
  • 3M made up 0.11% of HSBC Holdings's portfolio in Q1 2026, its #173 holding.
  • HSBC Holdings first reported a position in 3M in Q2 2013 and has held it in 52 quarters since.
  • HSBC Holdings's 3M position peaked at $457M in Q4 2017.
  • 2,156 funds tracked by Wall St. Rank held 3M as of Q1 2026.

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