Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$76.8M Sell
989,700
-1,321,600
-57% -$103M 0.01% 1247
2025
Q4
$178M Buy
2,311,300
+97,900
+4% +$7.26M 0.03% 638
2025
Q3
$151M Sell
2,213,400
-180,900
-8% -$12.3M 0.02% 744
2025
Q2
$166M Sell
2,394,300
-6,507,800
-73% -$400M 0.03% 628
2025
Q1
$549M Sell
8,902,100
-2,760,500
-24% -$170M 0.1% 196
2024
Q4
$690M Buy
11,662,600
+1,547,500
+15% +$88.4M 0.13% 151
2024
Q3
$538M Buy
10,115,100
+743,700
+8% +$36.2M 0.12% 163
2024
Q2
$445M Sell
9,371,400
-335,899
-3% -$15.9M 0.11% 178
2024
Q1
$484M Buy
9,707,299
+4,620,166
+91% +$231M 0.12% 158
2023
Q4
$257M Buy
5,087,133
+1,339,933
+36% +$68.5M 0.08% 261
2023
Q3
$201M Buy
3,747,200
+1,478,100
+65% +$79.7M 0.07% 287
2023
Q2
$117M Sell
2,269,100
-931,600
-29% -$45.8M 0.04% 434
2023
Q1
$167M Sell
3,200,700
-1,380,300
-30% -$67.4M 0.06% 311
2022
Q4
$218M Buy
4,581,000
+516,100
+13% +$23.5M 0.08% 253
2022
Q3
$163M Buy
4,064,900
+1,350,800
+50% +$59.9M 0.07% 281
2022
Q2
$116M Sell
2,714,100
-305,300
-10% -$14.6M 0.05% 400
2022
Q1
$168M Sell
3,019,400
-4,208,600
-58% -$238M 0.06% 347
2021
Q4
$458M Buy
7,228,000
+1,485,175
+26% +$84.9M 0.13% 159
2021
Q3
$313M Buy
5,742,825
+848,761
+17% +$47.6M 0.1% 210
2021
Q2
$259M Sell
4,894,064
-834,800
-15% -$43.9M 0.08% 242
2021
Q1
$296M Buy
5,728,864
+2,602,464
+83% +$122M 0.1% 208
2020
Q4
$140M Buy
3,126,400
+724,400
+30% +$29.8M 0.05% 376
2020
Q3
$94.6M Buy
2,402,000
+119,800
+5% +$5.22M 0.04% 419
2020
Q2
$106M Sell
2,282,200
-477,300
-17% -$20.9M 0.04% 357
2020
Q1
$108M Buy
2,759,500
+1,108,000
+67% +$48.6M 0.05% 323
2019
Q4
$79.2M Buy
1,651,500
+713,900
+76% +$33.2M 0.03% 537
2019
Q3
$46.3M Buy
937,600
+4,900
+0.5% +$255K 0.02% 737
2019
Q2
$51M Buy
932,700
+17,200
+2% +$950K 0.02% 660
2019
Q1
$49.4M Buy
915,500
+80,000
+10% +$3.89M 0.02% 639
2018
Q4
$36.2M Buy
835,500
+26,500
+3% +$1.21M 0.02% 762
2018
Q3
$39.4M Buy
809,000
+132,100
+20% +$5.94M 0.02% 799
2018
Q2
$29.1M Sell
676,900
-184,600
-21% -$8.07M 0.01% 944
2018
Q1
$37M Sell
861,500
-206,300
-19% -$8.75M 0.02% 790
2017
Q4
$40.9M Sell
1,067,800
-411,100
-28% -$14.7M 0.02% 764
2017
Q3
$49.7M Buy
1,478,900
+452,900
+44% +$14.4M 0.02% 594
2017
Q2
$32.1M Buy
1,026,000
+106,900
+12% +$3.48M 0.02% 781
2017
Q1
$31.1M Buy
919,100
+62,100
+7% +$2.01M 0.02% 765
2016
Q4
$25.9M Sell
857,000
-24,400
-3% -$744K 0.01% 874
2016
Q3
$28M Buy
881,400
+394,800
+81% +$12.1M 0.02% 781
2016
Q2
$14M Sell
486,600
-322,900
-40% -$9.06M 0.01% 1163
2016
Q1
$23M Sell
809,500
-814,900
-50% -$21M 0.02% 802
2015
Q4
$44.1M Sell
1,624,400
-345,300
-18% -$9.53M 0.03% 545
2015
Q3
$51.7M Buy
1,969,700
+236,800
+14% +$6.39M 0.04% 459
2015
Q2
$47.6M Buy
1,732,900
+166,400
+11% +$4.77M 0.03% 544
2015
Q1
$43.1M Buy
1,566,500
+52,200
+3% +$1.47M 0.03% 569
2014
Q4
$42.1M Buy
+1,514,300
New +$39.1M 0.03% 605

Other funds holding CSCO

UBS Group's CSCO Position: Q1 2026 in Review

UBS Group increased its Cisco (CSCO) stake by 8.7% in Q1 2026, buying an estimated $200M and bringing the position to 32,016,307 shares worth $2.48B. The position accounts for 0.37% of the portfolio, ranked #35.

UBS Group first reported a position in CSCO in Q4 2014 and has held it in 46 quarters since. 3,717 funds tracked by Wall St. Rank hold CSCO as of Q1 2026.

  • UBS Group held 32,016,307 shares of Cisco worth $2.48B as of Q1 2026.
  • UBS Group bought 2,559,949 Cisco shares in Q1 2026, an estimated $200M.
  • Cisco made up 0.37% of UBS Group's portfolio in Q1 2026, its #35 holding.
  • UBS Group first reported a position in Cisco in Q4 2014 and has held it in 46 quarters since.
  • 3,717 funds tracked by Wall St. Rank held Cisco as of Q1 2026.

Based on UBS Group's 13F filing for Q1 2026, filed 5 May 2026.