Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q2
$5.39M Sell
24,886
-12
-0% -$2.67K 0.21% 97
2026
Q1
$4.96M Buy
24,898
+774
+3% +$176K 0.21% 101
2025
Q4
$5.24M Buy
24,124
+817
+4% +$168K 0.22% 91
2025
Q3
$5.03M Buy
23,307
+1,317
+6% +$297K 0.22% 94
2025
Q2
$4.61M Buy
21,990
+1,461
+7% +$276K 0.21% 94
2025
Q1
$3.5M Buy
20,529
+1,117
+6% +$193K 0.18% 112
2024
Q4
$3.44M Buy
19,412
+694
+4% +$109K 0.16% 116
2024
Q3
$2.85M Sell
18,718
-593
-3% -$102K 0.14% 147
2024
Q2
$3.51M Sell
19,311
-518
-3% -$92.3K 0.19% 112
2024
Q1
$3.83M Sell
19,829
-1,534
-7% -$315K 0.21% 103
2023
Q4
$5.57M Buy
21,363
+444
+2% +$95K 0.35% 62
2023
Q3
$4.01M Sell
20,919
-1,321
-6% -$289K 0.27% 88
2023
Q2
$4.7M Buy
22,240
+735
+3% +$153K 0.31% 72
2023
Q1
$4.57M Sell
21,505
-735
-3% -$153K 0.31% 74
2022
Q4
$4.24M Sell
22,240
-471
-2% -$77K 0.3% 81
2022
Q3
$2.75M Sell
22,711
-3,874
-15% -$594K 0.21% 105
2022
Q2
$3.63M Buy
26,585
+3,480
+15% +$513K 0.26% 90
2022
Q1
$4.42M Buy
23,105
+1,623
+8% +$326K 0.27% 85
2021
Q4
$4.33M Buy
21,482
+2,046
+11% +$432K 0.27% 86
2021
Q3
$4.26M Buy
19,436
+1,661
+9% +$370K 0.27% 84
2021
Q2
$4.26M Buy
17,775
+780
+5% +$189K 0.3% 77
2021
Q1
$4.32M Buy
16,995
+478
+3% +$106K 0.33% 70
2020
Q4
$3.53M Sell
16,517
-1,684
-9% -$324K 0.3% 79
2020
Q3
$3.01M Sell
18,201
-1,796
-9% -$306K 0.28% 84
2020
Q2
$3.66M Sell
19,997
-1,214
-6% -$187K 0.39% 64
2020
Q1
$3.15M Sell
21,211
-2,575
-11% -$705K 0.46% 56
2019
Q4
$7.75M Sell
23,786
-1,051
-4% -$372K 0.78% 23
2019
Q3
$9.47M Buy
24,837
+4,728
+24% +$1.69M 1.04% 18
2019
Q2
$7.31M Sell
20,109
-2,150
-10% -$784K 0.93% 18
2019
Q1
$8.5M Buy
22,259
+369
+2% +$142K 1.16% 14
2018
Q4
$7.05M Buy
21,890
+91
+0.4% +$31.4K 1.11% 17
2018
Q3
$8.11M Buy
21,799
+2,082
+11% +$731K 0.99% 19
2018
Q2
$6.62M Buy
19,717
+2,448
+14% +$842K 0.89% 20
2018
Q1
$5.66M Buy
17,269
+834
+5% +$282K 0.75% 20
2017
Q4
$4.84M Sell
16,435
-262
-2% -$70.9K 0.64% 33
2017
Q3
$4.24M Buy
16,697
+3,193
+24% +$744K 0.61% 31
2017
Q2
$2.68M Sell
13,504
-7,180
-35% -$1.34M 0.45% 56
2017
Q1
$3.66M Sell
20,684
-462
-2% -$78.7K 0.62% 34
2016
Q4
$3.3M Sell
21,146
-191
-0.9% -$27.9K 0.54% 43
2016
Q3
$2.81M Buy
21,337
+1,559
+8% +$205K 0.47% 55
2016
Q2
$2.56M Buy
19,778
+7,324
+59% +$955K 0.45% 54
2016
Q1
$1.58M Buy
12,454
+1,033
+9% +$128K 0.28% 92
2015
Q4
$1.64M Buy
11,421
+87
+0.8% +$12.5K 0.3% 85
2015
Q3
$1.48M Sell
11,334
-2,515
-18% -$349K 0.27% 93
2015
Q2
$1.93M Buy
13,849
+1,980
+17% +$289K 0.31% 78
2015
Q1
$1.79M Buy
11,869
+1,132
+11% +$165K 0.3% 89
2014
Q4
$1.39M Buy
10,737
+536
+5% +$68K 0.24% 109
2014
Q3
$1.3M Sell
10,201
-1,955
-16% -$246K 0.22% 116
2014
Q2
$1.55M Buy
12,156
+3,770
+45% +$492K 0.26% 98
2014
Q1
$1.05M Buy
+8,386
New +$1.09M 0.27% 103

Other funds holding BA

Moors & Cabot's BA Position: Q2 2026 in Review

Moors & Cabot reduced its Boeing (BA) stake by 0.05% in Q2 2026, selling an estimated $2.67K and leaving 24,886 shares worth $5.39M. The position accounts for 0.21% of the portfolio, ranked #97.

Moors & Cabot first reported a position in BA in Q1 2014 and has held it in 50 quarters since. The position peaked at $9.47M in Q3 2019. 2,618 funds tracked by Wall St. Rank hold BA as of Q2 2026.

  • Moors & Cabot held 24,886 shares of Boeing worth $5.39M as of Q2 2026.
  • Moors & Cabot sold 12 Boeing shares in Q2 2026, an estimated $2.67K.
  • Boeing made up 0.21% of Moors & Cabot's portfolio in Q2 2026, its #97 holding.
  • Moors & Cabot first reported a position in Boeing in Q1 2014 and has held it in 50 quarters since.
  • Moors & Cabot's Boeing position peaked at $9.47M in Q3 2019.
  • 2,618 funds tracked by Wall St. Rank held Boeing as of Q2 2026.

Based on Moors & Cabot's 13F filing for Q2 2026, filed 10 Aug 2026.