Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$5.23M Sell
104,127
-11,660
-10% -$540K 0.04% 183
2025
Q4
$4.72M Sell
115,787
-640,328
-85% -$26M 0.03% 176
2025
Q3
$33.2M Buy
756,115
+640,994
+557% +$27.7M 0.28% 78
2025
Q2
$4.98M Sell
115,121
-135,399
-54% -$5.86M 0.04% 180
2025
Q1
$11.4M Sell
250,520
-5,446
-2% -$227K 0.1% 126
2024
Q4
$10.2M Buy
255,966
+1,479
+0.6% +$62.4K 0.09% 134
2024
Q3
$11.4M Buy
254,487
+161,559
+174% +$6.74M 0.1% 123
2024
Q2
$3.83M Buy
92,928
+2,264
+2% +$91.2K 0.03% 207
2024
Q1
$3.8M Sell
90,664
-9,768
-10% -$394K 0.04% 200
2023
Q4
$3.77M Buy
100,432
+73,607
+274% +$2.6M 0.04% 207
2023
Q3
$869K Sell
26,825
-9,524
-26% -$322K 0.01% 264
2023
Q2
$1.35M Buy
36,349
+2,423
+7% +$89.7K 0.02% 257
2023
Q1
$1.32M Sell
33,926
-3,000
-8% -$118K 0.02% 240
2022
Q4
$1.45M Sell
36,926
-22,864
-38% -$861K 0.02% 220
2022
Q3
$2.27M Sell
59,790
-13,148
-18% -$586K 0.03% 210
2022
Q2
$3.7M Buy
72,938
+34,321
+89% +$1.74M 0.05% 195
2022
Q1
$1.97M Sell
38,617
-6,847
-15% -$363K 0.02% 230
2021
Q4
$2.36M Buy
45,464
+3,825
+9% +$200K 0.02% 240
2021
Q3
$2.25K Sell
41,639
-395
-0.9% -$21.9K 0.01% 247
2021
Q2
$2.35M Sell
42,034
-1,904
-4% -$109K 0.02% 255
2021
Q1
$2.56M Buy
43,938
+6,206
+16% +$350K 0.02% 242
2020
Q4
$2.22M Sell
37,732
-2,132
-5% -$127K 0.02% 244
2020
Q3
$2.37M Buy
39,864
+431
+1% +$25K 0.03% 213
2020
Q2
$2.17M Buy
39,433
+7,068
+22% +$398K 0.03% 199
2020
Q1
$1.74M Buy
32,365
+300
+0.9% +$17.2K 0.02% 211
2019
Q4
$1.97M Hold
32,065
0.02% 209
2019
Q3
$1.94M Sell
32,065
-4,200
-12% -$242K 0.02% 207
2019
Q2
$2.07M Sell
36,265
-11,764
-24% -$678K 0.02% 206
2019
Q1
$2.84M Sell
48,029
-7,804
-14% -$442K 0.03% 190
2018
Q4
$3.14M Buy
55,833
+2,498
+5% +$142K 0.03% 191
2018
Q3
$2.85M Sell
53,335
-365
-0.7% -$19.3K 0.02% 201
2018
Q2
$2.7M Sell
53,700
-35,115
-40% -$1.7M 0.02% 203
2018
Q1
$4.25M Sell
88,815
-484,173
-84% -$24.3M 0.03% 178
2017
Q4
$30.3M Buy
572,988
+454,329
+383% +$22.3M 0.24% 89
2017
Q3
$5.87M Sell
118,659
-16,015
-12% -$754K 0.05% 166
2017
Q2
$6.01M Buy
134,674
+83,844
+165% +$3.91M 0.05% 164
2017
Q1
$2.48M Sell
50,830
-298,498
-85% -$15M 0.02% 221
2016
Q4
$18.6M Sell
349,328
-137,798
-28% -$6.89M 0.14% 112
2016
Q3
$25.3M Sell
487,126
-37,785
-7% -$2.03M 0.19% 97
2016
Q2
$29.3M Sell
524,911
-5,023
-0.9% -$261K 0.22% 91
2016
Q1
$28.7M Sell
529,934
-41,706
-7% -$2.09M 0.21% 89
2015
Q4
$26.4M Buy
571,640
+35,093
+7% +$1.59M 0.19% 101
2015
Q3
$23.3M Sell
536,547
-918
-0.2% -$42.4K 0.17% 111
2015
Q2
$25.1M Sell
537,465
-863,509
-62% -$42.3M 0.16% 115
2015
Q1
$68.1M Buy
1,400,974
+151,728
+12% +$7.32M 0.33% 88
2014
Q4
$58.4M Sell
1,249,246
-824,187
-40% -$40.3M 0.24% 105
2014
Q3
$104M Sell
2,073,433
-1,713
-0.1% -$85.1K 0.42% 73
2014
Q2
$102M Buy
2,075,146
+9,833
+0.5% +$476K 0.42% 76
2014
Q1
$98.2M Buy
2,065,313
+645,373
+45% +$30.5M 0.41% 76
2013
Q4
$69.8M Buy
1,419,940
+6,550
+0.5% +$322K 0.29% 86
2013
Q3
$65.9M Buy
1,413,390
+9,995
+0.7% +$488K 0.3% 87
2013
Q2
$70.6M Buy
+1,403,395
New +$71.6M 0.35% 80

Other funds holding VZ

TCW Group's VZ Position: Q1 2026 in Review

TCW Group reduced its Verizon (VZ) stake by 10% in Q1 2026, selling an estimated $540K and leaving 104,127 shares worth $5.23M. The position accounts for 0.04% of the portfolio, ranked #183.

TCW Group first reported a position in VZ in Q2 2013 and has held it in 52 quarters since. The position peaked at $104M in Q3 2014. 3,258 funds tracked by Wall St. Rank hold VZ as of Q1 2026.

  • TCW Group held 104,127 shares of Verizon worth $5.23M as of Q1 2026.
  • TCW Group sold 11,660 Verizon shares in Q1 2026, an estimated $540K.
  • Verizon made up 0.04% of TCW Group's portfolio in Q1 2026, its #183 holding.
  • TCW Group first reported a position in Verizon in Q2 2013 and has held it in 52 quarters since.
  • TCW Group's Verizon position peaked at $104M in Q3 2014.
  • 3,258 funds tracked by Wall St. Rank held Verizon as of Q1 2026.

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