Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$6.39M Buy
371,356
+160,746
+76% +$2.4M ﹤0.01% 736
2025
Q4
$2.92M Sell
210,610
-907,633
-81% -$17.3M ﹤0.01% 926
2025
Q3
$37.6M Sell
1,118,243
-31,520
-3% -$1.23M 0.03% 256
2025
Q2
$48M Sell
1,149,763
-44,119
-4% -$1.75M 0.05% 211
2025
Q1
$50.4M Buy
1,193,882
+604,828
+103% +$26.9M 0.07% 190
2024
Q4
$28.6M Buy
589,054
+46,137
+8% +$2.69M 0.04% 260
2024
Q3
$33.7M Sell
542,917
-12,178
-2% -$746K 0.04% 227
2024
Q2
$31.9M Buy
555,095
+299,097
+117% +$17.9M 0.05% 210
2024
Q1
$16.3M Sell
255,998
-20,784
-8% -$1.21M 0.02% 315
2023
Q4
$17.5M Sell
276,782
-64,824
-19% -$3.76M 0.03% 277
2023
Q3
$22.9M Sell
341,606
-173,956
-34% -$15.1M 0.05% 218
2023
Q2
$53.8M Sell
515,562
-21,059
-4% -$2.37M 0.12% 144
2023
Q1
$65.5M Sell
536,621
-13,567
-2% -$1.71M 0.15% 128
2022
Q4
$68.7M Buy
550,188
+11,334
+2% +$1.39M 0.18% 128
2022
Q3
$57M Sell
538,854
-85,224
-14% -$9.2M 0.17% 130
2022
Q2
$66.8M Sell
624,078
-75,797
-11% -$9.26M 0.18% 132
2022
Q1
$92.1M Buy
699,875
+62,669
+10% +$7.37M 0.19% 125
2021
Q4
$70M Sell
637,206
-37,005
-5% -$3.72M 0.16% 137
2021
Q3
$61.7M Sell
674,211
-4,690
-0.7% -$463K 0.16% 148
2021
Q2
$73.5M Buy
678,901
+3,642
+0.5% +$422K 0.17% 143
2021
Q1
$74.7M Buy
675,259
+9,690
+1% +$1.07M 0.2% 120
2020
Q4
$76.5M Sell
665,569
-36,170
-5% -$4.03M 0.22% 103
2020
Q3
$74.3M Buy
701,739
+525,425
+298% +$56.2M 0.24% 91
2020
Q2
$17.6M Buy
176,314
+527
+0.3% +$48.6K 0.06% 192
2020
Q1
$14.4M Sell
175,787
-4,831
-3% -$448K 0.07% 171
2019
Q4
$18M Buy
180,618
+13,332
+8% +$1.24M 0.07% 186
2019
Q3
$14.7M Sell
167,286
-16,407
-9% -$1.41M 0.07% 184
2019
Q2
$15.2M Sell
183,693
-66,466
-27% -$5.22M 0.07% 188
2019
Q1
$19.2M Sell
250,159
-88,788
-26% -$6.51M 0.09% 164
2018
Q4
$21.7M Buy
338,947
+38,519
+13% +$2.7M 0.11% 149
2018
Q3
$22.7M Sell
300,428
-6,878
-2% -$518K 0.11% 169
2018
Q2
$23.8M Buy
307,306
+7,594
+3% +$564K 0.11% 156
2018
Q1
$19.9M Buy
299,712
+4,014
+1% +$299K 0.1% 167
2017
Q4
$24.3M Sell
295,698
-7,962
-3% -$640K 0.12% 163
2017
Q3
$23.5M Sell
303,660
-3,907
-1% -$281K 0.12% 157
2017
Q2
$19.5M Buy
307,567
+27,433
+10% +$1.77M 0.11% 156
2017
Q1
$16.9M Sell
280,134
-4,432
-2% -$229K 0.07% 182
2016
Q4
$14M Sell
284,566
-7,503
-3% -$343K 0.07% 178
2016
Q3
$12.2M Sell
292,069
-29,337
-9% -$1.21M 0.06% 185
2016
Q2
$12.9M Buy
321,406
+1,942
+0.6% +$76.1K 0.07% 179
2016
Q1
$11.2M Sell
319,464
-57,007
-15% -$1.85M 0.08% 164
2015
Q4
$12.8M Sell
376,471
-13,866
-4% -$475K 0.1% 164
2015
Q3
$11.5M Sell
390,337
-95,520
-20% -$3.7M 0.09% 170
2015
Q2
$22.1M Buy
485,857
+30,639
+7% +$1.52M 0.13% 141
2015
Q1
$22.6M Sell
455,218
-50,183
-10% -$2.62M 0.13% 141
2014
Q4
$25M Sell
505,401
-46,915
-8% -$2.29M 0.16% 130
2014
Q3
$27.4M Sell
552,316
-295,019
-35% -$16.8M 0.15% 128
2014
Q2
$52.3M Sell
847,335
-250,019
-23% -$16.4M 0.24% 92
2014
Q1
$72.9M Buy
+1,097,354
New +$71.4M 0.36% 63

Other funds holding FMC

VanEck Associates's FMC Position: Q1 2026 in Review

VanEck Associates increased its FMC (FMC) stake by 76% in Q1 2026, buying an estimated $2.4M and bringing the position to 371,356 shares worth $6.39M. The position accounts for ﹤0.01% of the portfolio, ranked #736.

VanEck Associates first reported a position in FMC in Q1 2014 and has held it in 49 quarters since. The position peaked at $92.1M in Q1 2022. 436 funds tracked by Wall St. Rank hold FMC as of Q1 2026.

  • VanEck Associates held 371,356 shares of FMC worth $6.39M as of Q1 2026.
  • VanEck Associates bought 160,746 FMC shares in Q1 2026, an estimated $2.4M.
  • FMC made up ﹤0.01% of VanEck Associates's portfolio in Q1 2026, its #736 holding.
  • VanEck Associates first reported a position in FMC in Q1 2014 and has held it in 49 quarters since.
  • VanEck Associates's FMC position peaked at $92.1M in Q1 2022.
  • 436 funds tracked by Wall St. Rank held FMC as of Q1 2026.

Based on VanEck Associates's 13F filing for Q1 2026, filed 15 May 2026.