Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$2.21M Buy
5,649
+2,441
+76% +$931K 0.02% 268
2025
Q4
$883K Sell
3,208
-212,783
-99% -$55.2M 0.01% 379
2025
Q3
$51M Sell
215,991
-126,575
-37% -$21.6M 0.43% 63
2025
Q2
$49.4M Sell
342,566
-68,305
-17% -$7.07M 0.39% 67
2025
Q1
$34.9M Buy
410,871
+57,969
+16% +$5.48M 0.31% 80
2024
Q4
$30.5M Sell
352,902
-6,140
-2% -$618K 0.26% 84
2024
Q3
$39.3M Buy
359,042
+138,001
+62% +$14.1M 0.34% 76
2024
Q2
$22.8M Buy
221,041
+60,359
+38% +$5.64M 0.2% 90
2024
Q1
$15M Buy
160,682
+54,761
+52% +$4.82M 0.15% 113
2023
Q4
$9.05M Buy
105,921
+62,193
+142% +$4.64M 0.1% 139
2023
Q3
$2.88M Buy
+43,728
New +$2.82M 0.04% 200
2023
Q2
Sell
-32,355
Closed -$2.14M 314
2023
Q1
$2.14M Hold
32,355
0.03% 212
2022
Q4
$1.7M Sell
32,355
-138,394
-81% -$7.36M 0.02% 211
2022
Q3
$9.09M Buy
170,749
+24
+0% +$1.73K 0.13% 137
2022
Q2
$12.2M Sell
170,725
-11,691
-6% -$950K 0.16% 120
2022
Q1
$16.4M Sell
182,416
-11,660
-6% -$1.19M 0.16% 109
2021
Q4
$21.9M Buy
194,076
+133,393
+220% +$13M 0.18% 106
2021
Q3
$5.01K Buy
60,683
+179
+0.3% +$15.6K 0.01% 197
2021
Q2
$5.32M Sell
60,504
-32,951
-35% -$2.97M 0.05% 197
2021
Q1
$7.17M Buy
93,455
+6,859
+8% +$477K 0.07% 175
2020
Q4
$5.38M Buy
86,596
+5,337
+7% +$300K 0.05% 183
2020
Q3
$4M Sell
81,259
-8,965
-10% -$421K 0.04% 189
2020
Q2
$4.37M Buy
90,224
+5,722
+7% +$287K 0.05% 168
2020
Q1
$4.12M Buy
84,502
+9,038
+12% +$483K 0.06% 167
2019
Q4
$4.49M Buy
75,464
+743
+1% +$42.7K 0.05% 170
2019
Q3
$4.02M Sell
74,721
-45
-0.1% -$2.21K 0.05% 170
2019
Q2
$3.52M Sell
74,766
-112,133
-60% -$5.22M 0.04% 175
2019
Q1
$8.95M Buy
186,899
+4,634
+3% +$206K 0.09% 139
2018
Q4
$7.03M Sell
182,265
-69,551
-28% -$2.93M 0.07% 143
2018
Q3
$11.9M Sell
251,816
-60,549
-19% -$3.24M 0.1% 130
2018
Q2
$17.6M Buy
312,365
+26,778
+9% +$1.55M 0.14% 118
2018
Q1
$16.7M Sell
285,587
-28,562
-9% -$1.52M 0.14% 127
2017
Q4
$13.1M Sell
314,149
-29,363
-9% -$1.12M 0.11% 139
2017
Q3
$11.4M Sell
343,512
-117,881
-26% -$4M 0.09% 141
2017
Q2
$17.9M Buy
461,393
+13,937
+3% +$608K 0.15% 120
2017
Q1
$20.6M Sell
447,456
-104,764
-19% -$4.65M 0.17% 99
2016
Q4
$21.1M Sell
552,220
-1,138
-0.2% -$42.5K 0.16% 105
2016
Q3
$21.3M Buy
553,358
+47,420
+9% +$1.54M 0.16% 109
2016
Q2
$12.3M Sell
505,938
-148,822
-23% -$3.61M 0.09% 131
2016
Q1
$22.6M Sell
654,760
-15,280
-2% -$492K 0.17% 107
2015
Q4
$24.6M Sell
670,040
-102,430
-13% -$3.9M 0.18% 108
2015
Q3
$34.6M Sell
772,470
-24,472
-3% -$1.18M 0.25% 95
2015
Q2
$37.9M Sell
796,942
-99,207
-11% -$5.48M 0.24% 99
2015
Q1
$46.6M Sell
896,149
-74,775
-8% -$4.45M 0.22% 111
2014
Q4
$64.6M Sell
970,924
-72,332
-7% -$4.48M 0.27% 99
2014
Q3
$59.7M Sell
1,043,256
-8,239
-0.8% -$488K 0.24% 108
2014
Q2
$59.7M Buy
1,051,495
+16,583
+2% +$894K 0.25% 97
2014
Q1
$58.1M Buy
1,034,912
+60,803
+6% +$3.26M 0.24% 96
2013
Q4
$54.7M Sell
974,109
-28,943
-3% -$1.43M 0.23% 99
2013
Q3
$43.9M Buy
1,003,052
+38,783
+4% +$1.63M 0.2% 102
2013
Q2
$43.2M Buy
+964,269
New +$38.8M 0.21% 101

Other funds holding STX

TCW Group's STX Position: Q1 2026 in Review

TCW Group increased its Seagate (STX) stake by 76% in Q1 2026, buying an estimated $931K and bringing the position to 5,649 shares worth $2.21M. The position accounts for 0.02% of the portfolio, ranked #268.

TCW Group first reported a position in STX in Q2 2013 and has held it in 51 quarters since. The position peaked at $64.6M in Q4 2014. 1,455 funds tracked by Wall St. Rank hold STX as of Q1 2026.

  • TCW Group held 5,649 shares of Seagate worth $2.21M as of Q1 2026.
  • TCW Group bought 2,441 Seagate shares in Q1 2026, an estimated $931K.
  • Seagate made up 0.02% of TCW Group's portfolio in Q1 2026, its #268 holding.
  • TCW Group first reported a position in Seagate in Q2 2013 and has held it in 51 quarters since.
  • TCW Group's Seagate position peaked at $64.6M in Q4 2014.
  • 1,455 funds tracked by Wall St. Rank held Seagate as of Q1 2026.

Based on TCW Group's 13F filing for Q1 2026, filed 14 May 2026.