Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
Sell
-1,204,900
Closed -$42.2M 3594
2025
Q4
$42.2M Sell
1,204,900
-249,300
-17% -$8.99M 0.07% 338
2025
Q3
$54M Buy
1,454,200
+433,428
+42% +$15.6M 0.07% 327
2025
Q2
$34.6M Sell
1,020,772
-231,602
-18% -$8.06M 0.05% 474
2025
Q1
$45.2M Buy
1,252,374
+1,129,600
+920% +$38.3M 0.07% 355
2024
Q4
$3.99M Buy
122,774
+105,574
+614% +$3.48M 0.01% 1593
2024
Q3
$569K Buy
+17,200
New +$526K ﹤0.01% 2729
2024
Q2
Sell
-69,600
Closed -$1.92M 3867
2024
Q1
$1.92M Buy
+69,600
New +$1.85M ﹤0.01% 2056
2023
Q3
Sell
-661,900
Closed -$17.5M 4002
2023
Q2
$17.5M Sell
661,900
-214,400
-24% -$5.91M 0.03% 745
2023
Q1
$24.4M Buy
876,300
+135,500
+18% +$3.84M 0.03% 619
2022
Q4
$21.6M Sell
740,800
-1,167,100
-61% -$32.1M 0.03% 671
2022
Q3
$48.4M Buy
1,907,900
+1,016,900
+114% +$29.1M 0.07% 333
2022
Q2
$24.2M Sell
891,000
-480,100
-35% -$13.8M 0.03% 640
2022
Q1
$39.2M Sell
1,371,100
-809,800
-37% -$22.8M 0.05% 432
2021
Q4
$65.6M Buy
2,180,900
+1,060,200
+95% +$30.6M 0.08% 260
2021
Q3
$31.2M Sell
1,120,700
-2,025,300
-64% -$58.4M 0.04% 473
2021
Q2
$88M Buy
3,146,000
+1,162,600
+59% +$33.6M 0.11% 180
2021
Q1
$57.2M Buy
+1,983,400
New +$55.5M 0.07% 304
2020
Q3
Sell
-580,900
Closed -$15M 3615
2020
Q2
$15M Sell
580,900
-3,144,131
-84% -$81.8M 0.01% 988
2020
Q1
$91.9M Sell
3,725,031
-253,390
-6% -$8.16M 0.09% 226
2019
Q4
$143M Sell
3,978,421
-1,756,799
-31% -$58.9M 0.11% 194
2019
Q3
$181M Buy
5,735,220
+1,799,220
+46% +$54.4M 0.15% 133
2019
Q2
$122M Buy
3,936,000
+1,200,600
+44% +$37.2M 0.11% 207
2019
Q1
$86.8M Buy
2,735,400
+1,025,600
+60% +$31.9M 0.08% 294
2018
Q4
$48.4M Buy
1,709,800
+1,520,400
+803% +$46.2M 0.05% 437
2018
Q3
$5.54M Sell
189,400
-1,308,100
-87% -$38.2M 0.01% 1736
2018
Q2
$42.8M Buy
1,497,500
+1,317,600
+732% +$36.5M 0.05% 513
2018
Q1
$5.09M Sell
179,900
-2,908,800
-94% -$86.6M 0.01% 1802
2017
Q4
$95.6M Buy
3,088,700
+2,889,200
+1,448% +$104M 0.11% 205
2017
Q3
$7.57M Buy
199,500
+132,200
+196% +$5.11M 0.01% 1499
2017
Q2
$2.6M Buy
+67,300
New +$2.6M ﹤0.01% 2104
2017
Q1
Sell
-398,200
Closed -$13.6M 3372
2016
Q4
$13.6M Sell
398,200
-637,100
-62% -$21.4M 0.02% 1030
2016
Q3
$35.8M Buy
1,035,300
+766,800
+286% +$27.6M 0.06% 410
2016
Q2
$10.1M Sell
268,500
-1,078,600
-80% -$41.1M 0.02% 1136
2016
Q1
$51.3M Buy
1,347,100
+1,270,100
+1,649% +$45.1M 0.1% 236
2015
Q4
$2.63M Buy
77,000
+38,900
+102% +$1.31M 0.01% 1935
2015
Q3
$1.25M Buy
+38,100
New +$1.19M ﹤0.01% 2259
2015
Q2
Sell
-877,389
Closed -$27.5M 3338
2015
Q1
$27.5M Sell
877,389
-2,209,899
-72% -$71M 0.06% 431
2014
Q4
$104M Buy
3,087,288
+2,134,314
+224% +$69.7M 0.25% 56
2014
Q3
$29.1M Buy
952,974
+493,558
+107% +$15.4M 0.08% 304
2014
Q2
$15.2M Sell
459,416
-548,922
-54% -$17.3M 0.04% 610
2014
Q1
$31.1M Sell
1,008,338
-326,105
-24% -$9.47M 0.07% 303
2013
Q4
$37.4M Buy
+1,334,443
New +$37.6M 0.09% 258

Other funds holding PPL

Jim Simons's PPL Position: Q1 2026 in Review

Jim Simons sold out of PPL Corp (PPL) in Q1 2026, closing a stake of 1,204,900 shares — an estimated $42.2M sold.

Jim Simons first reported a position in PPL in Q4 2013 and held it in 42 quarters. The position peaked at $181M in Q3 2019. 991 funds tracked by Wall St. Rank hold PPL as of Q1 2026.

  • Jim Simons reported no remaining PPL Corp position as of Q1 2026 after selling out during the quarter.
  • Jim Simons sold 1,204,900 PPL Corp shares in Q1 2026, an estimated $42.2M.
  • Jim Simons first reported a position in PPL Corp in Q4 2013 and held it in 42 quarters.
  • Jim Simons's PPL Corp position peaked at $181M in Q3 2019.
  • 991 funds tracked by Wall St. Rank held PPL Corp as of Q1 2026.

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