Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$101M Sell
1,768,200
-1,135,600
-39% -$64.4M 0.62% 34
2025
Q4
$155M Sell
2,903,800
-1,400,500
-33% -$73M 0.93% 22
2025
Q3
$215M Sell
4,304,300
-258,200
-6% -$13.1M 1.16% 16
2025
Q2
$235M Buy
4,562,500
+15,000
+0.3% +$762K 1.43% 14
2025
Q1
$243M Sell
4,547,500
-78,100
-2% -$4.09M 1.69% 12
2024
Q4
$221M Sell
4,625,600
-2,002,800
-30% -$93.2M 1.49% 13
2024
Q3
$295M Buy
6,628,400
+2,725,000
+70% +$116M 1.71% 10
2024
Q2
$166M Buy
3,903,400
+735,000
+23% +$30.3M 0.99% 16
2024
Q1
$132M Buy
3,168,400
+427,900
+16% +$16.6M 0.9% 17
2023
Q4
$101M Buy
2,740,500
+480,000
+21% +$17.3M 0.81% 22
2023
Q3
$80.4M Hold
2,260,500
0.71% 26
2023
Q2
$76.7M Hold
2,260,500
0.58% 34
2023
Q1
$77.9M Hold
2,260,500
0.76% 28
2022
Q4
$74.2M Hold
2,260,500
0.75% 25
2022
Q3
$67.8M Hold
2,260,500
1.14% 21
2022
Q2
$65.9M Sell
2,260,500
-1,401,000
-38% -$44.9M 0.76% 21
2022
Q1
$121M Buy
3,661,500
+929,000
+34% +$30M 1.22% 12
2021
Q4
$80.9M Sell
2,732,500
-351,500
-11% -$10.5M 0.72% 22
2021
Q3
$87.8M Buy
3,084,000
+261,000
+9% +$7.4M 1.13% 14
2021
Q2
$83.6M Buy
2,823,000
+137,000
+5% +$3.88M 1.33% 15
2021
Q1
$68.8M Sell
2,686,000
-1,547,751
-37% -$38M 1.43% 14
2020
Q4
$91.7M Sell
4,233,751
-366,949
-8% -$7.24M 2.05% 9
2020
Q3
$72.4M Buy
4,600,700
+1,321,000
+40% +$23.9M 2.98% 6
2020
Q2
$56.7M Buy
3,279,700
+2,070,000
+171% +$35.3M 2.44% 10
2020
Q1
$14.1M Buy
1,209,700
+1,000,000
+477% +$20.5M 0.6% 29
2019
Q4
$5.34M Sell
209,700
-304,705
-59% -$7.77M 0.16% 105
2019
Q3
$14.4M Sell
514,405
-83,373
-14% -$2.44M 0.37% 53
2019
Q2
$19.2M Sell
597,778
-331,700
-36% -$10.6M 0.34% 60
2019
Q1
$30.6M Buy
929,478
+669,778
+258% +$22.5M 0.66% 27
2018
Q4
$7.87M Buy
+259,700
New +$8.67M 0.17% 94
2018
Q1
Sell
-340,000
Closed -$12.1M 793
2017
Q4
$12.1M Sell
340,000
-2,784,100
-89% -$98M 0.2% 65
2017
Q3
$109M Buy
3,124,100
+749,100
+32% +$25.9M 2.11% 7
2017
Q2
$79.3M Buy
2,375,000
+49,300
+2% +$1.71M 1.52% 11
2017
Q1
$83.9M Sell
2,325,700
-30,600
-1% -$1.13M 1.52% 13
2016
Q4
$80.2M Sell
2,356,300
-3,538,821
-60% -$115M 1.5% 9
2016
Q3
$193M Buy
5,895,121
+656,439
+13% +$21.7M 2.33% 8
2016
Q2
$176M Buy
5,238,682
+1,375,800
+36% +$43.7M 2.37% 10
2016
Q1
$115M Buy
3,862,882
+1,587,053
+70% +$43.1M 1.43% 16
2015
Q4
$89.5M Buy
2,275,829
+2,205,829
+3,151% +$83.3M 0.54% 41
2015
Q3
$2.68M Sell
70,000
-196,670
-74% -$10M 0.02% 348
2015
Q2
$19.1M Buy
266,670
+11,000
+4% +$814K 0.1% 170
2015
Q1
$18.7M Buy
+255,670
New +$19.4M 0.09% 206

Other funds holding MPLX

ING Group's MPLX Position: Q1 2026 in Review

ING Group reduced its MPLX (MPLX) stake by 39% in Q1 2026, selling an estimated $64.4M and leaving 1,768,200 shares worth $101M. The position accounts for 0.62% of the portfolio, ranked #34.

ING Group first reported a position in MPLX in Q1 2015 and has held it in 42 quarters since. The position peaked at $295M in Q3 2024. 644 funds tracked by Wall St. Rank hold MPLX as of Q1 2026.

  • ING Group held 1,768,200 shares of MPLX worth $101M as of Q1 2026.
  • ING Group sold 1,135,600 MPLX shares in Q1 2026, an estimated $64.4M.
  • MPLX made up 0.62% of ING Group's portfolio in Q1 2026, its #34 holding.
  • ING Group first reported a position in MPLX in Q1 2015 and has held it in 42 quarters since.
  • ING Group's MPLX position peaked at $295M in Q3 2024.
  • 644 funds tracked by Wall St. Rank held MPLX as of Q1 2026.

Based on ING Group's 13F filing for Q1 2026, filed 11 May 2026.