Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$36.7M Sell
103,000
-75,100
-42% -$26.1M 0.01% 1958
2025
Q4
$51.4M Sell
178,100
-16,600
-9% -$4.36M 0.01% 1600
2025
Q3
$45.9M Sell
194,700
-63,500
-25% -$14.6M 0.01% 1715
2025
Q2
$58.7M Sell
258,200
-36,000
-12% -$7.88M 0.01% 1367
2025
Q1
$71.7M Sell
294,200
-231,400
-44% -$60M 0.01% 1159
2024
Q4
$148M Buy
525,600
+4,800
+0.9% +$1.34M 0.03% 675
2024
Q3
$143M Buy
520,800
+112,300
+27% +$32.6M 0.03% 560
2024
Q2
$122M Sell
408,500
-60,700
-13% -$15.9M 0.03% 545
2024
Q1
$136M Sell
469,200
-45,500
-9% -$11.4M 0.03% 501
2023
Q4
$130M Buy
514,700
+67,800
+15% +$17.2M 0.04% 469
2023
Q3
$118M Buy
446,900
+38,000
+9% +$9.88M 0.04% 442
2023
Q2
$101M Buy
408,900
+75,000
+22% +$17.2M 0.03% 494
2023
Q1
$76.3M Buy
333,900
+108,900
+48% +$22.1M 0.03% 571
2022
Q4
$39M Sell
225,000
-57,000
-20% -$9.47M 0.01% 958
2022
Q3
$41.9M Buy
282,000
+100,000
+55% +$21.1M 0.02% 785
2022
Q2
$41.3M Sell
182,000
-64,000
-26% -$13.7M 0.02% 851
2022
Q1
$56.9M Sell
246,000
-44,000
-15% -$10.3M 0.02% 772
2021
Q4
$75M Buy
290,000
+95,000
+49% +$22.8M 0.02% 729
2021
Q3
$42.8M Buy
195,000
+34,200
+21% +$9.28M 0.01% 960
2021
Q2
$48M Sell
160,800
-57,335
-26% -$17M 0.02% 884
2021
Q1
$62M Buy
218,135
+100,835
+86% +$26M 0.02% 719
2020
Q4
$30.5M Sell
117,300
-56,900
-33% -$15.8M 0.01% 1079
2020
Q3
$43.8M Sell
174,200
-55,800
-24% -$11.2M 0.02% 711
2020
Q2
$32.3M Buy
230,000
+190,000
+475% +$23.9M 0.01% 808
2020
Q1
$4.85M Buy
40,000
+3,000
+8% +$422K ﹤0.01% 1956
2019
Q4
$5.59M Sell
37,000
-12,400
-25% -$1.91M ﹤0.01% 2508
2019
Q3
$7.19M Sell
49,400
-10,600
-18% -$1.71M ﹤0.01% 2043
2019
Q2
$9.85M Buy
60,000
+25,000
+71% +$4.38M ﹤0.01% 1767
2019
Q1
$6.35M Sell
35,000
-50,700
-59% -$8.96M ﹤0.01% 2024
2018
Q4
$13.8M Buy
85,700
+50,000
+140% +$10.6M 0.01% 1339
2018
Q3
$8.6M Buy
35,700
+800
+2% +$194K ﹤0.01% 1896
2018
Q2
$7.92M Sell
34,900
-11,000
-24% -$2.72M ﹤0.01% 1938
2018
Q1
$11M Sell
45,900
-48,600
-51% -$12.3M ﹤0.01% 1601
2017
Q4
$23.6M Sell
94,500
-21,500
-19% -$4.92M 0.01% 1082
2017
Q3
$26.2M Sell
116,000
-128,200
-52% -$27.3M 0.01% 947
2017
Q2
$53.1M Buy
244,200
+141,700
+138% +$28M 0.03% 552
2017
Q1
$20M Sell
102,500
-460,500
-82% -$88M 0.01% 1027
2016
Q4
$105M Buy
563,000
+496,300
+744% +$91.1M 0.06% 322
2016
Q3
$11.7M Sell
66,700
-545,000
-89% -$89.2M 0.01% 1310
2016
Q2
$92.8M Buy
611,700
+509,600
+499% +$82.6M 0.06% 327
2016
Q1
$16.6M Sell
102,100
-39,900
-28% -$5.55M 0.01% 1001
2015
Q4
$21.2M Buy
142,000
+2,000
+1% +$309K 0.01% 922
2015
Q3
$20.2M Buy
140,000
+89,900
+179% +$14.3M 0.01% 885
2015
Q2
$8.54M Sell
50,100
-16,500
-25% -$2.87M 0.01% 1588
2015
Q1
$11M Sell
66,600
-59,300
-47% -$10.3M 0.01% 1399
2014
Q4
$21.9M Buy
+125,900
New +$21.3M 0.02% 933

Other funds holding FDX

UBS Group's FDX Position: Q1 2026 in Review

UBS Group reduced its FedEx (FDX) stake by 4.2% in Q1 2026, selling an estimated $17.2M and leaving 1,117,751 shares worth $398M. The position accounts for 0.06% of the portfolio, ranked #329.

UBS Group first reported a position in FDX in Q4 2014 and has held it in 46 quarters since. The position peaked at $419M in Q2 2025. 2,027 funds tracked by Wall St. Rank hold FDX as of Q1 2026.

  • UBS Group held 1,117,751 shares of FedEx worth $398M as of Q1 2026.
  • UBS Group sold 49,416 FedEx shares in Q1 2026, an estimated $17.2M.
  • FedEx made up 0.06% of UBS Group's portfolio in Q1 2026, its #329 holding.
  • UBS Group first reported a position in FedEx in Q4 2014 and has held it in 46 quarters since.
  • UBS Group's FedEx position peaked at $419M in Q2 2025.
  • 2,027 funds tracked by Wall St. Rank held FedEx as of Q1 2026.

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