Manulife (Manufacturers Life Insurance)’s S&P Global SPGI Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$167M Sell
391,477
-3,040
-0.8% -$1.41M 0.14% 152
2025
Q4
$206M Sell
394,517
-32,407
-8% -$16M 0.17% 119
2025
Q3
$208M Sell
426,924
-5,924
-1% -$3.17M 0.17% 122
2025
Q2
$228M Sell
432,848
-10,593
-2% -$5.29M 0.2% 107
2025
Q1
$225M Sell
443,441
-923
-0.2% -$472K 0.21% 106
2024
Q4
$221M Sell
444,364
-30,090
-6% -$15.3M 0.19% 114
2024
Q3
$245M Sell
474,454
-5,667
-1% -$2.8M 0.21% 102
2024
Q2
$214M Sell
480,121
-20,612
-4% -$8.84M 0.2% 109
2024
Q1
$213M Sell
500,733
-78,451
-14% -$34M 0.2% 109
2023
Q4
$255M Sell
579,184
-599,840
-51% -$237M 0.15% 112
2023
Q3
$431M Buy
1,179,024
+308,683
+35% +$121M 0.25% 71
2023
Q2
$349M Sell
870,341
-151,492
-15% -$55.4M 0.19% 84
2023
Q1
$352M Buy
1,021,833
+312,591
+44% +$110M 0.2% 87
2022
Q4
$238M Sell
709,242
-263,163
-27% -$86.7M 0.15% 116
2022
Q3
$297M Sell
972,405
-226,772
-19% -$81.1M 0.21% 83
2022
Q2
$404M Sell
1,199,177
-1,096,026
-48% -$391M 0.28% 60
2022
Q1
$942M Buy
2,295,203
+500,424
+28% +$204M 0.62% 26
2021
Q4
$847K Buy
1,794,779
+30,641
+2% +$14M 0.52% 29
2021
Q3
$750M Sell
1,764,138
-61,436
-3% -$26.6M 0.61% 30
2021
Q2
$749M Sell
1,825,574
-42,550
-2% -$16.4M 0.61% 32
2021
Q1
$659M Buy
1,868,124
+646,850
+53% +$215M 0.57% 33
2020
Q4
$401M Buy
1,221,274
+344,643
+39% +$116M 0.37% 61
2020
Q3
$316M Buy
876,631
+114,120
+15% +$40.3M 0.33% 73
2020
Q2
$245M Sell
762,511
-68,703
-8% -$20.7M 0.23% 97
2020
Q1
$204M Sell
831,214
-309,262
-27% -$84.8M 0.23% 100
2019
Q4
$311M Buy
1,140,476
+287,358
+34% +$74.7M 0.33% 74
2019
Q3
$210M Buy
853,118
+233,332
+38% +$58.3M 0.24% 112
2019
Q2
$141M Buy
619,786
+320,566
+107% +$70M 0.16% 145
2019
Q1
$63M Sell
299,220
-140,547
-32% -$27.2M 0.07% 265
2018
Q4
$74.7M Sell
439,767
-600,318
-58% -$108M 0.09% 224
2018
Q3
$203M Buy
1,040,085
+176,574
+20% +$36.4M 0.21% 109
2018
Q2
$176M Buy
863,511
+193,846
+29% +$38.3M 0.19% 128
2018
Q1
$128M Sell
669,665
-188,528
-22% -$34.8M 0.14% 163
2017
Q4
$145M Buy
858,193
+129,598
+18% +$21.2M 0.16% 147
2017
Q3
$114M Buy
728,595
+96,038
+15% +$14.6M 0.14% 166
2017
Q2
$92.3M Sell
632,557
-867
-0.1% -$120K 0.11% 182
2017
Q1
$82.8M Sell
633,424
-66,133
-9% -$8.22M 0.1% 203
2016
Q4
$75.2M Buy
699,557
+97,302
+16% +$11.6M 0.11% 195
2016
Q3
$76.2M Sell
602,255
-599,469
-50% -$72M 0.11% 180
2016
Q2
$129M Buy
+1,201,724
New +$129M 0.2% 123

Other funds holding SPGI

Manulife (Manufacturers Life Insurance)'s SPGI Position: Q1 2026 in Review

Manulife (Manufacturers Life Insurance) reduced its S&P Global (SPGI) stake by 0.77% in Q1 2026, selling an estimated $1.41M and leaving 391,477 shares worth $167M. The position accounts for 0.14% of the portfolio, ranked #152.

Manulife (Manufacturers Life Insurance) first reported a position in SPGI in Q2 2016 and has held it in 40 quarters since. The position peaked at $942M in Q1 2022. 2,109 funds tracked by Wall St. Rank hold SPGI as of Q1 2026.

  • Manulife (Manufacturers Life Insurance) held 391,477 shares of S&P Global worth $167M as of Q1 2026.
  • Manulife (Manufacturers Life Insurance) sold 3,040 S&P Global shares in Q1 2026, an estimated $1.41M.
  • S&P Global made up 0.14% of Manulife (Manufacturers Life Insurance)'s portfolio in Q1 2026, its #152 holding.
  • Manulife (Manufacturers Life Insurance) first reported a position in S&P Global in Q2 2016 and has held it in 40 quarters since.
  • Manulife (Manufacturers Life Insurance)'s S&P Global position peaked at $942M in Q1 2022.
  • 2,109 funds tracked by Wall St. Rank held S&P Global as of Q1 2026.

Based on Manulife (Manufacturers Life Insurance)'s 13F filing for Q1 2026, filed 15 May 2026.