Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$627M Buy
4,264,500
+1,257,100
+42% +$204M 0.09% 209
2025
Q4
$586M Buy
3,007,400
+1,955,400
+186% +$466M 0.1% 205
2025
Q3
$296M Buy
1,052,000
+260,200
+33% +$66.3M 0.05% 399
2025
Q2
$173M Sell
791,800
-791,000
-50% -$128M 0.03% 607
2025
Q1
$221M Buy
1,582,800
+60,066
+4% +$9.78M 0.04% 455
2024
Q4
$254M Sell
1,522,734
-197,700
-11% -$35.1M 0.05% 404
2024
Q3
$293M Buy
1,720,434
+446,000
+35% +$64.6M 0.06% 282
2024
Q2
$180M Buy
1,274,434
+836,134
+191% +$104M 0.04% 385
2024
Q1
$55.1M Sell
438,300
-203,656
-32% -$23.3M 0.01% 987
2023
Q4
$67.7M Buy
641,956
+475,256
+285% +$51.9M 0.02% 792
2023
Q3
$17.7M Sell
166,700
-82,000
-33% -$9.49M 0.01% 1577
2023
Q2
$29.6M Sell
248,700
-114,200
-31% -$11.8M 0.01% 1165
2023
Q1
$33.7M Sell
362,900
-303,700
-46% -$26.6M 0.01% 1013
2022
Q4
$54.5M Buy
666,600
+79,500
+14% +$6.04M 0.02% 757
2022
Q3
$35.9M Buy
587,100
+244,400
+71% +$17.9M 0.02% 887
2022
Q2
$23.9M Sell
342,700
-276,600
-45% -$20.2M 0.01% 1192
2022
Q1
$51.2M Sell
619,300
-1,374,900
-69% -$111M 0.02% 830
2021
Q4
$174M Buy
1,994,200
+176,699
+10% +$16.6M 0.05% 385
2021
Q3
$158M Buy
1,817,501
+1,900
+0.1% +$168K 0.05% 367
2021
Q2
$141M Buy
1,815,601
+316,725
+21% +$24.8M 0.05% 404
2021
Q1
$105M Sell
1,498,876
-298,424
-17% -$19.3M 0.03% 490
2020
Q4
$116M Buy
1,797,300
+964,400
+116% +$57.4M 0.04% 432
2020
Q3
$49.7M Buy
832,900
+218,600
+36% +$12.4M 0.02% 657
2020
Q2
$34M Sell
614,300
-234,100
-28% -$12.4M 0.01% 789
2020
Q1
$41M Sell
848,400
-668,600
-44% -$34.5M 0.02% 631
2019
Q4
$80.4M Buy
1,517,000
+434,600
+40% +$23.9M 0.03% 531
2019
Q3
$59.6M Sell
1,082,400
-451,400
-29% -$24.9M 0.02% 597
2019
Q2
$87.4M Buy
1,533,800
+646,800
+73% +$35M 0.03% 437
2019
Q1
$47.6M Buy
887,000
+41,400
+5% +$2.11M 0.02% 657
2018
Q4
$38.2M Buy
845,600
+203,500
+32% +$9.75M 0.02% 730
2018
Q3
$33.1M Sell
642,100
-148,000
-19% -$7.19M 0.01% 887
2018
Q2
$34.8M Sell
790,100
-93,800
-11% -$4.32M 0.02% 849
2018
Q1
$40.4M Sell
883,900
-442,000
-33% -$22M 0.02% 738
2017
Q4
$62.7M Buy
1,325,900
+386,600
+41% +$19M 0.03% 581
2017
Q3
$45.4M Buy
939,300
+565,500
+151% +$28.1M 0.02% 639
2017
Q2
$18.7M Buy
373,800
+337,300
+924% +$15.4M 0.01% 1081
2017
Q1
$1.63M Sell
36,500
-363,700
-91% -$15.1M ﹤0.01% 3129
2016
Q4
$15.4M Sell
400,200
-193,500
-33% -$7.57M 0.01% 1196
2016
Q3
$23.3M Buy
593,700
+29,400
+5% +$1.2M 0.01% 887
2016
Q2
$23.1M Sell
564,300
-259,900
-32% -$10.4M 0.01% 851
2016
Q1
$33.7M Sell
824,200
-443,600
-35% -$16.4M 0.02% 614
2015
Q4
$46.3M Buy
1,267,800
+799,000
+170% +$30.5M 0.03% 531
2015
Q3
$16.9M Sell
468,800
-52,900
-10% -$2.03M 0.01% 1006
2015
Q2
$21M Sell
521,700
-126,900
-20% -$5.5M 0.01% 954
2015
Q1
$28M Buy
648,600
+166,600
+35% +$7.22M 0.02% 770
2014
Q4
$21.7M Buy
+482,000
New +$19.6M 0.02% 939

Other funds holding ORCL

UBS Group's ORCL Position: Q1 2026 in Review

UBS Group increased its Oracle (ORCL) stake by 19% in Q1 2026, buying an estimated $343M and bringing the position to 13,422,069 shares worth $1.97B. The position accounts for 0.3% of the portfolio, ranked #53.

UBS Group first reported a position in ORCL in Q4 2014 and has held it in 46 quarters since. The position peaked at $3.24B in Q3 2025. 3,472 funds tracked by Wall St. Rank hold ORCL as of Q1 2026.

  • UBS Group held 13,422,069 shares of Oracle worth $1.97B as of Q1 2026.
  • UBS Group bought 2,107,984 Oracle shares in Q1 2026, an estimated $343M.
  • Oracle made up 0.3% of UBS Group's portfolio in Q1 2026, its #53 holding.
  • UBS Group first reported a position in Oracle in Q4 2014 and has held it in 46 quarters since.
  • UBS Group's Oracle position peaked at $3.24B in Q3 2025.
  • 3,472 funds tracked by Wall St. Rank held Oracle as of Q1 2026.

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