Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$41.4M Buy
461,761
+42,300
+10% +$4.06M 0.06% 379
2025
Q4
$39M Sell
419,461
-74,900
-15% -$8.16M 0.06% 360
2025
Q3
$61.6M Buy
494,361
+90,400
+22% +$11.5M 0.08% 278
2025
Q2
$53.2M Sell
403,961
-6,508
-2% -$736K 0.07% 320
2025
Q1
$43M Buy
410,469
+60,008
+17% +$6.28M 0.07% 370
2024
Q4
$38.1M Buy
350,461
+10,400
+3% +$1.16M 0.06% 414
2024
Q3
$36.3M Buy
340,061
+30,300
+10% +$3.07M 0.05% 431
2024
Q2
$30.7M Buy
309,761
+130,200
+73% +$13.1M 0.05% 435
2024
Q1
$16.6M Buy
179,561
+59,100
+49% +$4.76M 0.03% 721
2023
Q4
$9.1M Sell
120,461
-27,700
-19% -$1.8M 0.01% 997
2023
Q3
$8.98M Buy
148,161
+84,800
+134% +$5.82M 0.02% 982
2023
Q2
$4.57M Buy
+63,361
New +$4.01M 0.01% 1471
2022
Q4
Sell
-72,761
Closed -$3.06M 4254
2022
Q3
$3.06M Sell
72,761
-92,200
-56% -$4.59M ﹤0.01% 1749
2022
Q2
$8.15M Sell
164,961
-125,400
-43% -$6.22M 0.01% 1219
2022
Q1
$15.3M Buy
290,361
+198,500
+216% +$11.1M 0.02% 902
2021
Q4
$6.29M Buy
+91,861
New +$6.46M 0.01% 1368
2021
Q3
Sell
-10,261
Closed -$1.03M 3645
2021
Q2
$1.03M Sell
10,261
-150,700
-94% -$14M ﹤0.01% 2651
2021
Q1
$14.3M Buy
+160,961
New +$15.9M 0.02% 979
2020
Q4
Sell
-43,261
Closed -$2.63M 3549
2020
Q3
$2.63M Buy
+43,261
New +$2.75M ﹤0.01% 1969
2020
Q2
Sell
-61,961
Closed -$3.46M 3595
2020
Q1
$3.46M Sell
61,961
-116,700
-65% -$8.87M ﹤0.01% 1773
2019
Q4
$15M Sell
178,661
-173,900
-49% -$13.7M 0.01% 1178
2019
Q3
$26.1M Buy
352,561
+125,700
+55% +$8.46M 0.02% 817
2019
Q2
$14.2M Buy
226,861
+31,861
+16% +$1.77M 0.01% 1175
2019
Q1
$9.1M Sell
195,000
-106,000
-35% -$5.62M 0.01% 1434
2018
Q4
$14.2M Sell
301,000
-214,561
-42% -$11.3M 0.02% 1099
2018
Q3
$33.1M Sell
515,561
-227,200
-31% -$14.3M 0.03% 637
2018
Q2
$44.6M Sell
742,761
-165,700
-18% -$10.5M 0.05% 488
2018
Q1
$65M Sell
908,461
-117,500
-11% -$8.41M 0.07% 343
2017
Q4
$70M Buy
1,025,961
+220,700
+27% +$15.8M 0.08% 306
2017
Q3
$62.4M Buy
805,261
+85,600
+12% +$6.21M 0.07% 332
2017
Q2
$48.8M Buy
719,661
+198,700
+38% +$13M 0.06% 382
2017
Q1
$31.6M Sell
520,961
-15,000
-3% -$932K 0.04% 545
2016
Q4
$33.7M Sell
535,961
-99,100
-16% -$5.97M 0.05% 489
2016
Q3
$35.4M Buy
635,061
+6,659
+1% +$319K 0.06% 413
2016
Q2
$27.1M Buy
628,402
+9,041
+1% +$382K 0.05% 508
2016
Q1
$25.8M Buy
619,361
+220,461
+55% +$8.15M 0.05% 524
2015
Q4
$14.4M Buy
398,900
+23,300
+6% +$823K 0.03% 740
2015
Q3
$12M Sell
375,600
-52,361
-12% -$1.63M 0.03% 828
2015
Q2
$14.7M Buy
427,961
+109,600
+34% +$3.98M 0.03% 711
2015
Q1
$11.6M Buy
318,361
+252,600
+384% +$9.41M 0.02% 856
2014
Q4
$2.78M Buy
65,761
+49,461
+303% +$1.97M 0.01% 1624
2014
Q3
$641K Buy
+16,300
New +$653K ﹤0.01% 2224

Other funds holding ITRI

Jim Simons's ITRI Position: Q1 2026 in Review

Jim Simons increased its Itron (ITRI) stake by 10% in Q1 2026, buying an estimated $4.06M and bringing the position to 461,761 shares worth $41.4M. The position accounts for 0.06% of the portfolio, ranked #379.

Jim Simons first reported a position in ITRI in Q3 2014 and has held it in 42 quarters since. The position peaked at $70M in Q4 2017. 432 funds tracked by Wall St. Rank hold ITRI as of Q1 2026.

  • Jim Simons held 461,761 shares of Itron worth $41.4M as of Q1 2026.
  • Jim Simons bought 42,300 Itron shares in Q1 2026, an estimated $4.06M.
  • Itron made up 0.06% of Jim Simons's portfolio in Q1 2026, its #379 holding.
  • Jim Simons first reported a position in Itron in Q3 2014 and has held it in 42 quarters since.
  • Jim Simons's Itron position peaked at $70M in Q4 2017.
  • 432 funds tracked by Wall St. Rank held Itron as of Q1 2026.

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