Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$12.3M Sell
271,800
-416,800
-61% -$20.1M ﹤0.01% 3122
2025
Q4
$40.2M Sell
688,600
-826,800
-55% -$53.7M 0.01% 1852
2025
Q3
$102M Buy
1,515,400
+8,000
+0.5% +$564K 0.02% 1020
2025
Q2
$112M Buy
1,507,400
+770,800
+105% +$52.8M 0.02% 880
2025
Q1
$48.1M Buy
736,600
+341,000
+86% +$26.6M 0.01% 1511
2024
Q4
$33.8M Buy
395,600
+260,000
+192% +$21.9M 0.01% 1811
2024
Q3
$10.6M Buy
135,600
+42,900
+46% +$2.87M ﹤0.01% 2307
2024
Q2
$5.38M Sell
92,700
-492,500
-84% -$31.3M ﹤0.01% 2805
2024
Q1
$39.2M Buy
585,200
+358,300
+158% +$22M 0.01% 1197
2023
Q4
$13.9M Buy
226,900
+72,500
+47% +$4.15M ﹤0.01% 1844
2023
Q3
$9.03M Sell
154,400
-234,400
-60% -$15.3M ﹤0.01% 2058
2023
Q2
$25.9M Buy
388,800
+146,300
+60% +$9.97M 0.01% 1253
2023
Q1
$18.4M Sell
242,500
-236,200
-49% -$18.2M 0.01% 1462
2022
Q4
$34.1M Sell
478,700
-551,600
-54% -$44.1M 0.01% 1044
2022
Q3
$88.7M Sell
1,030,300
-173,000
-14% -$15.3M 0.04% 469
2022
Q2
$84M Sell
1,203,300
-220,500
-15% -$19.1M 0.03% 507
2022
Q1
$165M Sell
1,423,800
-936,600
-40% -$125M 0.05% 359
2021
Q4
$445M Buy
2,360,400
+1,256,104
+114% +$272M 0.13% 165
2021
Q3
$287M Buy
1,104,296
+162,060
+17% +$46M 0.09% 223
2021
Q2
$275M Sell
942,236
-173,600
-16% -$45.9M 0.09% 233
2021
Q1
$271M Sell
1,115,836
-400,864
-26% -$101M 0.09% 224
2020
Q4
$355M Sell
1,516,700
-146,600
-9% -$30.4M 0.12% 185
2020
Q3
$328M Sell
1,663,300
-591,400
-26% -$111M 0.12% 177
2020
Q2
$393M Sell
2,254,700
-484,000
-18% -$66.9M 0.17% 139
2020
Q1
$262M Buy
2,738,700
+859,200
+46% +$94.9M 0.12% 174
2019
Q4
$203M Buy
1,879,500
+899,100
+92% +$93.7M 0.07% 264
2019
Q3
$102M Buy
980,400
+95,000
+11% +$10.5M 0.04% 402
2019
Q2
$101M Buy
885,400
+556,500
+169% +$61.7M 0.04% 395
2019
Q1
$34.2M Sell
328,900
-481,700
-59% -$45.6M 0.01% 837
2018
Q4
$68.2M Sell
810,600
-161,700
-17% -$13.5M 0.03% 474
2018
Q3
$85.4M Buy
972,300
+60,100
+7% +$5.29M 0.03% 458
2018
Q2
$76M Sell
912,200
-167,800
-16% -$13.4M 0.03% 490
2018
Q1
$81.9M Sell
1,080,000
-17,400
-2% -$1.38M 0.04% 441
2017
Q4
$80.8M Sell
1,097,400
-134,600
-11% -$9.73M 0.03% 479
2017
Q3
$78.9M Buy
1,232,000
+764,000
+163% +$45.8M 0.04% 439
2017
Q2
$25.1M Buy
468,000
+1,000
+0.2% +$49.1K 0.01% 903
2017
Q1
$20.1M Buy
+467,000
New +$19.5M 0.01% 1024
2016
Q4
Sell
-3,000
Closed -$123K 7978
2016
Q3
$123K Hold
3,000
﹤0.01% 4876
2016
Q2
$110K Buy
+3,000
New +$115K ﹤0.01% 4961

Other funds holding PYPL

UBS Group's PYPL Position: Q1 2026 in Review

UBS Group reduced its PayPal (PYPL) stake by 17% in Q1 2026, selling an estimated $54.8M and leaving 5,636,577 shares worth $255M. The position accounts for 0.04% of the portfolio, ranked #501.

UBS Group first reported a position in PYPL in Q3 2015 and has held it in 43 quarters since. The position peaked at $1.03B in Q3 2021. 1,493 funds tracked by Wall St. Rank hold PYPL as of Q1 2026.

  • UBS Group held 5,636,577 shares of PayPal worth $255M as of Q1 2026.
  • UBS Group sold 1,135,114 PayPal shares in Q1 2026, an estimated $54.8M.
  • PayPal made up 0.04% of UBS Group's portfolio in Q1 2026, its #501 holding.
  • UBS Group first reported a position in PayPal in Q3 2015 and has held it in 43 quarters since.
  • UBS Group's PayPal position peaked at $1.03B in Q3 2021.
  • 1,493 funds tracked by Wall St. Rank held PayPal as of Q1 2026.

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