Capital Research Global Investors — T Trade History

Quarter-by-quarter changes in the AT&T INC position · CUSIP 00206R102
Currently held · 7.8 YearsFirst seen: 2018 Q4split-adjusted
QuarterFiledActivitySharesΔ SharesΔ %Value% Port.
2026 Q22026-08-12Reduce44,833,995-16,738,388-27.2%$928.1M0.13%
2026 Q12026-05-13Reduce61,572,383-535,790-0.9%$1.78B0.28%
2025 Q42026-02-11Reduce62,108,173-3,499,662-5.3%$1.54B0.28%
2025 Q32025-11-13Add65,607,835370,455+0.6%$1.85B0.35%
2025 Q22025-08-13Add65,237,38041,958,911+180.2%$1.89B0.38%
2025 Q12025-05-12Add23,278,46920,913,754+884.4%$658.3M0.14%
2024 Q42025-02-13Add2,364,715891+0.0%$53.8M0.01%
2024 Q32024-11-13Add2,363,8243,655+0.2%$52.0M0.01%
2024 Q22024-08-13Add2,360,16924,882+1.1%$45.1M0.01%
2024 Q12024-05-14Hold2,335,2870.0%$41.1M0.01%
2023 Q42024-02-13Hold2,335,2870.0%$39.2M0.01%
2023 Q32023-11-13Reduce2,335,287-3,847,415-62.2%$35.1M0.01%
2023 Q22023-08-11Add6,182,7023,850,000+165.0%$98.6M0.03%
2023 Q12023-05-15Add2,332,7021,702+0.1%$44.9M0.01%
2022 Q42023-02-14Hold2,331,0000.0%$42.9M0.01%
2022 Q32022-11-14Reduce2,331,000-1,398-0.1%$35.8M0.01%
2022 Q22022-08-15Reduce2,332,398-755,697-24.5%$48.9M0.01%
2022 Q12022-05-19Hold3,088,0950.0%$55.1M0.01%
2021 Q42022-02-14Hold3,088,0950.0%$57.4M0.01%
2021 Q32021-11-15Hold3,088,0950.0%$63.0M0.01%
2021 Q22021-08-16Add3,088,0951,070+0.0%$67.1M0.02%
2021 Q12021-05-14Reduce3,087,025-7,464,969-70.7%$70.6M0.02%
2020 Q42021-02-12Add10,551,9946,995+0.1%$229.2M0.06%
2020 Q32020-11-13Add10,544,9993,608+0.0%$227.1M0.07%
2020 Q22020-08-14Add10,541,39175,476+0.7%$240.7M0.08%
2020 Q12020-05-15Add10,465,9154,877+0.0%$230.4M0.09%
2019 Q42020-02-18Add10,461,0386,204+0.1%$308.8M0.09%
2019 Q32019-11-14Reduce10,454,834-11,347,467-52.0%$298.8M0.10%
2019 Q22019-08-14Reduce21,802,301-2,635,498-10.8%$551.8M0.17%
2019 Q12019-05-15Add24,437,7996,645+0.0%$578.8M0.18%
2018 Q42019-02-14New24,431,15424,431,154$526.6M0.18%

Share counts are split-adjusted. Time held counts consecutive quarters ending with the latest filing; more than ten years shows as ">10 Years".

13F data shows quarter-end positions, is delayed by up to 45 days and covers only long positions in US-listed securities; short positions, most derivatives and non-US assets are not reported.