Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q2
$173M Sell
574,006
-48,104
-8% -$9.55M 0.72% 22
2026
Q1
$91.6M Buy
622,110
+45,660
+8% +$6.68M 0.45% 46
2025
Q4
$70M Sell
576,450
-5,200
-0.9% -$610K 0.36% 52
2025
Q3
$62.7M Buy
581,650
+59,380
+11% +$5.54M 0.33% 62
2025
Q2
$46.8M Buy
522,270
+161,220
+45% +$12.1M 0.28% 74
2025
Q1
$24.5M Buy
361,050
+19,360
+6% +$1.39M 0.18% 101
2024
Q4
$21.5M Buy
341,690
+35,640
+12% +$2.41M 0.16% 110
2024
Q3
$23.7M Buy
306,050
+13,230
+5% +$1.04M 0.27% 84
2024
Q2
$24.1M Buy
292,820
+64,630
+28% +$4.77M 0.28% 73
2024
Q1
$15.9M Sell
228,190
-129,390
-36% -$8.31M 0.22% 103
2023
Q4
$20.8M Buy
357,580
+237,460
+198% +$12.4M 0.25% 86
2023
Q3
$5.51M Sell
120,120
-60,040
-33% -$2.88M 0.09% 271
2023
Q2
$8.74M Sell
180,160
-18,250
-9% -$763K 0.13% 197
2023
Q1
$7.92M Buy
198,410
+82,780
+72% +$3.26M 0.12% 220
2022
Q4
$4.36M Sell
115,630
-19,770
-15% -$689K 0.07% 290
2022
Q3
$4.1M Buy
135,400
+230
+0.2% +$7.97K 0.07% 295
2022
Q2
$4.31M Sell
135,170
-84,450
-38% -$2.84M 0.07% 302
2022
Q1
$8.04M Sell
219,620
-74,990
-25% -$2.8M 0.11% 202
2021
Q4
$12.7M Sell
294,610
-30,970
-10% -$1.2M 0.16% 142
2021
Q3
$10.9M Sell
325,580
-14,170
-4% -$473K 0.15% 162
2021
Q2
$11.5M Sell
339,750
-79,710
-19% -$2.55M 0.12% 167
2021
Q1
$13.9M Buy
419,460
+46,740
+13% +$1.41M 0.2% 120
2020
Q4
$9.65M Buy
372,720
+190,900
+105% +$4.45M 0.14% 167
2020
Q3
$3.52M Buy
181,820
+51,360
+39% +$1.01M 0.05% 239
2020
Q2
$2.54M Buy
130,460
+80,490
+161% +$1.38M 0.04% 291
2020
Q1
$718K Sell
49,970
-140,620
-74% -$2.26M 0.01% 394
2019
Q4
$3.4M Buy
190,590
+146,160
+329% +$2.45M 0.06% 235
2019
Q3
$708K Sell
44,430
-114,190
-72% -$1.6M 0.01% 420
2019
Q2
$1.87M Buy
158,620
+111,210
+235% +$1.29M 0.02% 338
2019
Q1
$566K Sell
47,410
-1,384,190
-97% -$14.9M 0.01% 410
2018
Q4
$12.8M Buy
1,431,600
+276,780
+24% +$2.58M 0.26% 111
2018
Q3
$11.7M Sell
1,154,820
-929,250
-45% -$10.2M 0.16% 137
2018
Q2
$21.4M Buy
2,084,070
+427,970
+26% +$4.65M 0.32% 90
2018
Q1
$18.1M Buy
1,656,100
+1,480,430
+843% +$16.5M 0.32% 92
2017
Q4
$1.85M Buy
175,670
+32,090
+22% +$338K 0.04% 229
2017
Q3
$1.52M Buy
143,580
+64,020
+80% +$611K 0.04% 236
2017
Q2
$728K Sell
79,560
-329,310
-81% -$3.29M 0.02% 374
2017
Q1
$3.89M Sell
408,870
-107,590
-21% -$948K 0.1% 122
2016
Q4
$4.06M Buy
516,460
+296,820
+135% +$2.27M 0.14% 107
2016
Q3
$1.53M Buy
219,640
+77,120
+54% +$555K 0.05% 181
2016
Q2
$1.04M Hold
142,520
0.04% 169
2016
Q1
$1.04M Buy
+142,520
New +$959K 0.04% 184
2015
Q4
Sell
-115,280
Closed -$576K 343
2015
Q3
$576K Buy
115,280
+46,510
+68% +$239K 0.03% 193
2015
Q2
$387K Buy
+68,770
New +$402K 0.01% 219

Other funds holding KLAC

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

Swiss Life Asset Management reduced its KLA (KLAC) stake by 7.7% in Q2 2026, selling an estimated $9.55M and leaving 574,006 shares worth $173M. The position accounts for 0.72% of the portfolio, ranked #22.

Swiss Life Asset Management first reported a position in KLAC in Q2 2015 and has held it in 44 quarters since. 1,842 funds tracked by Wall St. Rank hold KLAC as of Q2 2026.

  • Swiss Life Asset Management held 574,006 shares of KLA worth $173M as of Q2 2026.
  • Swiss Life Asset Management sold 48,104 KLA shares in Q2 2026, an estimated $9.55M.
  • KLA made up 0.72% of Swiss Life Asset Management's portfolio in Q2 2026, its #22 holding.
  • Swiss Life Asset Management first reported a position in KLA in Q2 2015 and has held it in 44 quarters since.
  • 1,842 funds tracked by Wall St. Rank held KLA as of Q2 2026.

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