Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q2
$10.7M Buy
+44,922
New +$10.9M 0.04% 302
2026
Q1
Sell
-40,551
Closed -$8.23M 1555
2025
Q4
$8.23M Buy
40,551
+5,231
+15% +$1.14M 0.04% 307
2025
Q3
$8.7M Buy
35,320
+3,230
+10% +$745K 0.05% 290
2025
Q2
$6.7M Buy
32,090
+21,406
+200% +$4.25M 0.04% 313
2025
Q1
$2.32M Buy
10,684
+1,698
+19% +$367K 0.02% 474
2024
Q4
$1.85M Sell
8,986
-53,384
-86% -$10.5M 0.01% 479
2024
Q3
$11M Sell
62,370
-2,728
-4% -$471K 0.12% 153
2024
Q2
$10.6M Sell
65,098
-736
-1% -$116K 0.13% 152
2024
Q1
$9.8M Buy
65,834
+58,939
+855% +$7.77M 0.14% 138
2023
Q4
$888K Buy
6,895
+2,235
+48% +$259K 0.01% 501
2023
Q3
$490K Sell
4,660
-20,718
-82% -$2.18M 0.01% 578
2023
Q2
$2.65M Hold
25,378
0.04% 441
2023
Q1
$2.56M Buy
25,378
+1,950
+8% +$190K 0.04% 451
2022
Q4
$2.16M Sell
23,428
-4,390
-16% -$388K 0.04% 419
2022
Q3
$2.23M Sell
27,818
-100
-0.4% -$9.45K 0.04% 422
2022
Q2
$2.74M Sell
27,918
-13,058
-32% -$1.38M 0.04% 397
2022
Q1
$4.86M Sell
40,976
-2,387
-6% -$287K 0.07% 296
2021
Q4
$5.91M Buy
43,363
+13,252
+44% +$1.91M 0.08% 280
2021
Q3
$4.68M Sell
30,111
-16,677
-36% -$2.71M 0.06% 301
2021
Q2
$5.71M Buy
46,788
+1,028
+2% +$144K 0.06% 300
2021
Q1
$6.03M Buy
45,760
+1,991
+5% +$248K 0.09% 268
2020
Q4
$5.24M Buy
+43,769
New +$4.85M 0.08% 282
2020
Q3
Sell
-12,780
Closed -$1.25M 494
2020
Q2
$1.25M Buy
12,780
+9,810
+330% +$839K 0.02% 361
2020
Q1
$223K Sell
2,970
-4,263
-59% -$386K ﹤0.01% 481
2019
Q4
$706K Sell
7,233
-32,654
-82% -$3.04M 0.01% 411
2019
Q3
$3.38M Buy
39,887
+23,278
+140% +$1.88M 0.04% 231
2019
Q2
$1.32M Buy
16,609
+8,799
+113% +$720K 0.02% 369
2019
Q1
$674K Sell
7,810
-5,819
-43% -$438K 0.01% 395
2018
Q4
$863K Sell
13,629
-73,122
-84% -$4.73M 0.02% 163
2018
Q3
$6.08M Sell
86,751
-93,448
-52% -$6.12M 0.08% 183
2018
Q2
$11M Buy
180,199
+55,734
+45% +$3.35M 0.16% 128
2018
Q1
$7.33M Buy
124,465
+79,594
+177% +$4.87M 0.13% 152
2017
Q4
$2.67M Buy
44,871
+28,712
+178% +$1.68M 0.06% 185
2017
Q3
$872K Sell
16,159
-6,886
-30% -$357K 0.02% 332
2017
Q2
$1.17M Buy
23,045
+5,514
+31% +$283K 0.03% 283
2017
Q1
$897K Buy
17,531
+12,786
+269% +$644K 0.02% 314
2016
Q4
$230K Buy
+4,745
New +$236K 0.01% 417
2016
Q1
Sell
-57,367
Closed -$2.13M 369
2015
Q4
$2.13M Buy
57,367
+25,741
+81% +$936K 0.09% 109
2015
Q3
$1.14M Buy
31,626
+26,977
+580% +$1.07M 0.06% 134
2015
Q2
$204K Buy
+4,649
New +$214K 0.01% 279

Other funds holding GRMN

Swiss Life Asset Management's GRMN Position: Q2 2026 in Review

Swiss Life Asset Management opened a new position in Garmin (GRMN) in Q2 2026: 44,922 shares worth $10.7M. The stake represents 0.04% of the portfolio and ranks #302 among its holdings. This is a return to the name: Swiss Life Asset Management previously reported a position in GRMN as recently as Q4 2025.

Swiss Life Asset Management first reported a position in GRMN in Q2 2015 and has held it in 40 quarters since. The position peaked at $11M in Q2 2018. 726 funds tracked by Wall St. Rank hold GRMN as of Q2 2026.

  • Swiss Life Asset Management held 44,922 shares of Garmin worth $10.7M as of Q2 2026.
  • Garmin was a new Swiss Life Asset Management position in Q2 2026.
  • Garmin made up 0.04% of Swiss Life Asset Management's portfolio in Q2 2026, its #302 holding.
  • Swiss Life Asset Management first reported a position in Garmin in Q2 2015 and has held it in 40 quarters since.
  • Swiss Life Asset Management's Garmin position peaked at $11M in Q2 2018.
  • 726 funds tracked by Wall St. Rank held Garmin as of Q2 2026.

Based on Swiss Life Asset Management's 13F filing for Q2 2026, filed 29 Jul 2026.