Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$2.55M Sell
202,899
-48,941
-19% -$496K ﹤0.01% 1753
2025
Q4
$2.19M Sell
251,840
-19,794
-7% -$172K ﹤0.01% 1806
2025
Q3
$2.55M Sell
271,634
-397,206
-59% -$3.7M ﹤0.01% 1915
2025
Q2
$6M Sell
668,840
-149,289
-18% -$1.19M 0.01% 1405
2025
Q1
$7.13M Buy
818,129
+489,889
+149% +$4.93M 0.01% 1202
2024
Q4
$2.73M Sell
328,240
-72,100
-18% -$532K ﹤0.01% 1844
2024
Q3
$2.37M Sell
400,340
-280,000
-41% -$1.56M ﹤0.01% 1902
2024
Q2
$3.58M Buy
680,340
+142,100
+26% +$724K 0.01% 1518
2024
Q1
$2.93M Buy
538,240
+52,867
+11% +$337K ﹤0.01% 1781
2023
Q4
$3.56M Sell
485,373
-173,300
-26% -$1.14M 0.01% 1564
2023
Q3
$5.42M Sell
658,673
-235,900
-26% -$2.1M 0.01% 1253
2023
Q2
$9.42M Sell
894,573
-164,500
-16% -$1.63M 0.01% 1056
2023
Q1
$16.8M Buy
1,059,073
+94,200
+10% +$1.63M 0.02% 816
2022
Q4
$18.1M Buy
964,873
+13,340
+1% +$268K 0.02% 757
2022
Q3
$18.6M Sell
951,533
-144,840
-13% -$3.16M 0.03% 716
2022
Q2
$19.2M Buy
1,096,373
+47,900
+5% +$867K 0.02% 752
2022
Q1
$19.3M Sell
1,048,473
-264,303
-20% -$5.23M 0.02% 769
2021
Q4
$30M Buy
1,312,776
+87,403
+7% +$1.77M 0.04% 521
2021
Q3
$23M Sell
1,225,373
-192,660
-14% -$4.05M 0.03% 612
2021
Q2
$29.3M Sell
1,418,033
-201,800
-12% -$3.9M 0.04% 542
2021
Q1
$27M Sell
1,619,833
-373,840
-19% -$6.3M 0.03% 618
2020
Q4
$29.4M Sell
1,993,673
-196,570
-9% -$2.5M 0.03% 571
2020
Q3
$22.5M Buy
2,190,243
+39,300
+2% +$445K 0.02% 686
2020
Q2
$23.5M Buy
2,150,943
+44,840
+2% +$463K 0.02% 732
2020
Q1
$16.2M Sell
2,106,103
-345,325
-14% -$2.95M 0.02% 890
2019
Q4
$24.2M Buy
2,451,428
+134,400
+6% +$1.28M 0.02% 904
2019
Q3
$26.3M Buy
2,317,028
+51,100
+2% +$607K 0.02% 812
2019
Q2
$34.6M Buy
2,265,928
+328,900
+17% +$5.25M 0.03% 662
2019
Q1
$26.5M Buy
1,937,028
+391,200
+25% +$5.41M 0.02% 820
2018
Q4
$16.6M Buy
1,545,828
+201,449
+15% +$2.75M 0.02% 999
2018
Q3
$23.7M Sell
1,344,379
-24,649
-2% -$412K 0.02% 829
2018
Q2
$20.3M Sell
1,369,028
-404,500
-23% -$6.03M 0.02% 908
2018
Q1
$27.6M Buy
1,773,528
+5,700
+0.3% +$95.1K 0.03% 757
2017
Q4
$34.2M Buy
1,767,828
+57,300
+3% +$1.27M 0.04% 620
2017
Q3
$41.1M Buy
1,710,528
+90,400
+6% +$2M 0.05% 510
2017
Q2
$33.5M Buy
1,620,128
+328,600
+25% +$6.58M 0.04% 553
2017
Q1
$26.8M Buy
1,291,528
+117,900
+10% +$2.56M 0.04% 634
2016
Q4
$26.2M Sell
1,173,628
-76,700
-6% -$1.55M 0.04% 621
2016
Q3
$23.9M Buy
1,250,328
+249,328
+25% +$4.59M 0.04% 597
2016
Q2
$18.7M Sell
1,001,000
-160,700
-14% -$3.06M 0.04% 736
2016
Q1
$23.5M Buy
1,161,700
+217,472
+23% +$4.02M 0.04% 563
2015
Q4
$16.3M Buy
944,228
+278,587
+42% +$4.43M 0.04% 665
2015
Q3
$9.72M Buy
665,641
+217,013
+48% +$3.43M 0.02% 965
2015
Q2
$7.29M Buy
448,628
+98,500
+28% +$1.69M 0.02% 1180
2015
Q1
$6.54M Sell
350,128
-94,400
-21% -$2.01M 0.01% 1196
2014
Q4
$9.69M Buy
444,528
+333,900
+302% +$6.85M 0.02% 903
2014
Q3
$2.27M Sell
110,628
-90,800
-45% -$2.03M 0.01% 1604
2014
Q2
$4.54M Buy
201,428
+162,142
+413% +$3.67M 0.01% 1270
2014
Q1
$959K Buy
+39,286
New +$1.01M ﹤0.01% 2102

Other funds holding ADTN

Jim Simons's ADTN Position: Q1 2026 in Review

Jim Simons reduced its Adtran (ADTN) stake by 19% in Q1 2026, selling an estimated $496K and leaving 202,899 shares worth $2.55M. The position accounts for ﹤0.01% of the portfolio, ranked #1753.

Jim Simons first reported a position in ADTN in Q1 2014 and has held it in 49 quarters since. The position peaked at $41.1M in Q3 2017. 227 funds tracked by Wall St. Rank hold ADTN as of Q1 2026.

  • Jim Simons held 202,899 shares of Adtran worth $2.55M as of Q1 2026.
  • Jim Simons sold 48,941 Adtran shares in Q1 2026, an estimated $496K.
  • Adtran made up ﹤0.01% of Jim Simons's portfolio in Q1 2026, its #1753 holding.
  • Jim Simons first reported a position in Adtran in Q1 2014 and has held it in 49 quarters since.
  • Jim Simons's Adtran position peaked at $41.1M in Q3 2017.
  • 227 funds tracked by Wall St. Rank held Adtran as of Q1 2026.

Based on Renaissance Technologies's 13F filing for Q1 2026, filed 14 May 2026.