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David Rolfe - Wedgewood Partners – Largest Position Reductions (2026 Q1)

This report summarizes the most meaningful reductions and sell-offs made by David Rolfe - Wedgewood Partners in 2026 Q1. The analysis highlights which positions were trimmed or exited, providing insight into how the investor adjusted risk exposure and portfolio strategy.

Symbol Shares Reported Price(USD) Action Change % Portfolio Weight Position Value Filing Period
GOOGL 155,701 $287.56 Reduced -5.01% 9.25% $44.77M 2026 Q1
TSM 129,353 $337.95 Reduced -29.95% 9.03% $43.71M 2026 Q1
META 65,805 $572.13 Reduced -4.82% 7.78% $37.65M 2026 Q1
AAPL 135,128 $253.79 Reduced -5.45% 7.09% $34.29M 2026 Q1
MSI 67,941 $433.96 Reduced -5.27% 6.09% $29.48M 2026 Q1
MSFT 73,919 $370.18 Reduced -4.62% 5.65% $27.36M 2026 Q1
V 83,010 $302.24 Reduced -4.75% 5.18% $25.09M 2026 Q1
BKNG 137,925 $168.42 Reduced -5.16% 4.80% $23.23M 2026 Q1
ODFL 113,941 $195.4 Reduced -5.09% 4.60% $22.26M 2026 Q1
TSCO 456,094 $45.3 Reduced -5.18% 4.27% $20.66M 2026 Q1
URI 25,192 $728.56 Reduced -4.99% 3.79% $18.35M 2026 Q1
CB 53,886 $325.93 Reduced -4.67% 3.63% $17.56M 2026 Q1
CDW 144,870 $121.02 Reduced -4.61% 3.62% $17.53M 2026 Q1
ORLY 178,397 $92.31 Reduced -5.47% 3.40% $16.47M 2026 Q1
CPRT 462,749 $33.2 Reduced -4.80% 3.17% $15.36M 2026 Q1
SPGI 32,371 $425.35 Reduced -4.13% 2.84% $13.77M 2026 Q1
EW 170,969 $80.08 Reduced -5.48% 2.83% $13.69M 2026 Q1
IWF 2,096 $106.39 Reduced -95.64% 0.05% $222.99K 2026 Q1
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