Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$590M Buy
1,906,822
+45,001
+2% +$14.8M 2.34% 6
2025
Q4
$644M Buy
1,861,821
+19,851
+1% +$7.1M 2.4% 6
2025
Q3
$608M Buy
1,841,970
+57,926
+3% +$17.8M 2.23% 6
2025
Q2
$492M Buy
1,784,044
+216,958
+14% +$47.1M 1.84% 6
2025
Q1
$262M Buy
1,567,086
+44,713
+3% +$9.46M 1.1% 12
2024
Q4
$353M Buy
1,522,373
+22,467
+1% +$4.16M 1.4% 8
2024
Q3
$259M Buy
1,499,906
+66,856
+5% +$10.7M 1% 13
2024
Q2
$230M Sell
1,433,050
-9,410
-0.7% -$1.32M 0.91% 14
2024
Q1
$191M Sell
1,442,460
-492,300
-25% -$61M 0.76% 16
2023
Q4
$216M Buy
1,934,760
+387,140
+25% +$36.7M 0.9% 16
2023
Q3
$129M Sell
1,547,620
-35,360
-2% -$3.07M 0.57% 27
2023
Q2
$137M Sell
1,582,980
-34,740
-2% -$2.48M 0.58% 25
2023
Q1
$104M Buy
1,617,720
+4,510
+0.3% +$271K 0.45% 35
2022
Q4
$90.2M Sell
1,613,210
-50,140
-3% -$2.51M 0.41% 45
2022
Q3
$73.9M Sell
1,663,350
-16,670
-1% -$852K 0.35% 61
2022
Q2
$81.6M Buy
1,680,020
+7,790
+0.5% +$437K 0.37% 59
2022
Q1
$105M Buy
1,672,230
+37,670
+2% +$2.24M 0.39% 53
2021
Q4
$109M Sell
1,634,560
-28,060
-2% -$1.58M 0.38% 53
2021
Q3
$80.6M Sell
1,662,620
-106,250
-6% -$5.17M 0.3% 73
2021
Q2
$84.3M Sell
1,768,870
-41,980
-2% -$1.95M 0.3% 75
2021
Q1
$84M Sell
1,810,850
-64,890
-3% -$3M 0.32% 72
2020
Q4
$82.1M Sell
1,875,740
-8,180
-0.4% -$319K 0.32% 71
2020
Q3
$68.6M Buy
1,883,920
+246,900
+15% +$8.27M 0.29% 73
2020
Q2
$51.7M Sell
1,637,020
-111,990
-6% -$3.13M 0.23% 110
2020
Q1
$41.5M Sell
1,749,010
-961,060
-35% -$27.1M 0.22% 109
2019
Q4
$85.6M Sell
2,710,070
-757,350
-22% -$23M 0.36% 63
2019
Q3
$95.7M Sell
3,467,420
-36,000
-1% -$1.02M 0.42% 55
2019
Q2
$101M Buy
3,503,420
+47,610
+1% +$1.39M 0.45% 49
2019
Q1
$104M Sell
3,455,810
-1,112,090
-24% -$30.1M 0.47% 45
2018
Q4
$116M Buy
4,567,900
+190,950
+4% +$4.51M 0.59% 32
2018
Q3
$108M Buy
4,376,950
+798,250
+22% +$17.9M 0.47% 40
2018
Q2
$86.8M Buy
+3,578,700
New +$87.7M 0.37% 55
2018
Q1
Sell
-3,353,890
Closed -$86.2M 1876
2017
Q4
$86.2M Sell
3,353,890
-138,500
-4% -$3.6M 0.37% 63
2017
Q3
$84.7M Sell
3,492,390
-72,050
-2% -$1.78M 0.36% 62
2017
Q2
$83.1M Buy
3,564,440
+1,446,390
+68% +$33.6M 0.37% 57
2017
Q1
$46.4M Sell
2,118,050
-56,310
-3% -$1.16M 0.2% 150
2016
Q4
$38.4M Sell
2,174,360
-97,440
-4% -$1.69M 0.17% 168
2016
Q3
$39.2M Sell
2,271,800
-70,260
-3% -$1.18M 0.18% 164
2016
Q2
$36.4M Buy
2,342,060
+63,570
+3% +$968K 0.16% 175
2016
Q1
$35.2M Buy
2,278,490
+691,630
+44% +$9.35M 0.16% 185
2015
Q4
$23M Sell
1,586,860
-355,480
-18% -$4.62M 0.1% 244
2015
Q3
$24.3M Buy
1,942,340
+382,450
+25% +$4.83M 0.12% 236
2015
Q2
$20.7M Buy
1,559,890
+1,533,990
+5,923% +$20.1M 0.09% 281
2015
Q1
$328K Buy
+25,900
New +$297K ﹤0.01% 1324
2014
Q4
Sell
-112,070
Closed -$975K 1743
2014
Q3
$975K Hold
112,070
﹤0.01% 770
2014
Q2
$808K Hold
112,070
﹤0.01% 916
2014
Q1
$722K Hold
112,070
﹤0.01% 947
2013
Q4
$593K Hold
112,070
﹤0.01% 1109
2013
Q3
$483K Buy
112,070
+95,770
+588% +$368K ﹤0.01% 1225
2013
Q2
$61K Buy
+16,300
New +$56.9K ﹤0.01% 1709

Other funds holding AVGO

STRS Ohio's AVGO Position: Q1 2026 in Review

STRS Ohio increased its Broadcom (AVGO) stake by 2.4% in Q1 2026, buying an estimated $14.8M and bringing the position to 1,906,822 shares worth $590M. The position accounts for 2.34% of the portfolio, ranked #6.

STRS Ohio first reported a position in AVGO in Q2 2013 and has held it in 50 quarters since. The position peaked at $644M in Q4 2025. 4,662 funds tracked by Wall St. Rank hold AVGO as of Q1 2026.

  • STRS Ohio held 1,906,822 shares of Broadcom worth $590M as of Q1 2026.
  • STRS Ohio bought 45,001 Broadcom shares in Q1 2026, an estimated $14.8M.
  • Broadcom made up 2.34% of STRS Ohio's portfolio in Q1 2026, its #6 holding.
  • STRS Ohio first reported a position in Broadcom in Q2 2013 and has held it in 50 quarters since.
  • STRS Ohio's Broadcom position peaked at $644M in Q4 2025.
  • 4,662 funds tracked by Wall St. Rank held Broadcom as of Q1 2026.

Based on STRS Ohio's 13F filing for Q1 2026, filed 24 Apr 2026.