Purchases and Sales Made in Q4 2021 in Coca Cola CO (KO)
This table provides information about the institutional ownership of Coca Cola CO (KO) during Q4 2021. The information is specifically focused on institutions that hold shares of COCA COLA CO.
Report Date | Institution (Fund) | Operation | Option | Shares change | Value Range | Shares Held | Trade History |
---|---|---|---|---|---|---|---|
Feb 10, 2022
Q4 2021
|
Bls Capital Fondsmaeglerselskab A
Klampenborg, G7 |
SELL
|
- |
-687K- 15.84% |
$35.9M - $40.7M
|
3.65M
$228M
|
|
Feb 14, 2022
Q4 2021
|
Ubs Group Ag
|
SELL
|
- |
-689K- 3.38% |
$36M - $40.8M
|
19.7M
$1.23B
|
|
Feb 09, 2022
Q4 2021
|
Lazard Asset Management LLC
New York, NY |
SELL
|
- |
-698K- 5.08% |
$36.5M - $41.3M
|
13M
$813M
|
|
Feb 14, 2022
Q4 2021
|
Fil LTD
Hamilton, D0 |
SELL
|
- |
-755K- 33.1% |
$39.5M - $44.7M
|
1.53M
$95.3M
|
|
Feb 14, 2022
Q4 2021
|
Arrowstreet Capital, Limited Partnership
Boston, MA |
SELL
|
- |
-760K- 8.16% |
$39.7M - $45M
|
8.55M
$533M
|
|
Feb 11, 2022
Q4 2021
|
Mufg Securities Emea PLC
London, X0 |
SELL
|
- |
-794K- 69.03% |
$41.5M - $47M
|
356K
$22.2M
|
|
Feb 08, 2022
Q4 2021
|
Northern Trust Corp
Chicago, IL |
SELL
|
- |
-873K- 1.84% |
$45.6M - $51.7M
|
46.6M
$2.91B
|
|
Feb 11, 2022
Q4 2021
|
Cibc World Markets Corp
New York, NY |
SELL
|
- |
-895K- 61.2% |
$46.8M - $53M
|
567K
$35.4M
|
|
Feb 14, 2022
Q4 2021
|
Schroder Investment Management Group
London, X0 |
SELL
|
- |
-908K- 14.61% |
$47.5M - $53.8M
|
5.31M
$331M
|
|
Feb 11, 2022
Q4 2021
|
Nicholas Company, Inc.
|
SELL
|
- |
-908K- 85.64% |
$47.5M - $53.8M
|
152K
$9.5M
|
|
Feb 14, 2022
Q4 2021
|
Nuveen Asset Management, LLC
Chicago, IL |
SELL
|
- |
-931K- 4.53% |
$48.7M - $55.1M
|
19.6M
$1.22B
|
|
Feb 14, 2022
Q4 2021
|
Canada Pension Plan Investment Board
Toronto Ontario, A6 |
SELL
|
- |
-1.12M- 10.8% |
$58.8M - $66.6M
|
9.28M
$579M
|
|
Feb 14, 2022
Q4 2021
|
Amp Capital Investors LTD
Sydney Nsw, C3 |
SELL
|
- |
-1.21MClosed |
$63.4M - $71.8M
|
0
$0
|
|
Feb 08, 2022
Q4 2021
|
Bank Of America Corp
Charlotte, NC |
SELL
|
- |
-1.27M- 3.87% |
$66.5M - $75.3M
|
31.5M
$1.97B
|
|
Feb 14, 2022
Q4 2021
|
Federated Hermes, Inc.
Pittsburgh, PA |
SELL
|
- |
-1.3M- 29.88% |
$67.9M - $76.9M
|
3.05M
$190M
|
|
Feb 11, 2022
Q4 2021
|
Bank Of New York Mellon Corp
New York, NY |
SELL
|
- |
-1.39M- 3.56% |
$72.8M - $82.4M
|
37.7M
$2.35B
|
|
Feb 14, 2022
Q4 2021
|
Vanguard Group Inc
Valley Forge, PA |
SELL
|
- |
-1.4M- 0.41% |
$73.3M - $83M
|
342M
$21.4B
|
|
Feb 11, 2022
Q4 2021
|
Healthcare Of Ontario Pension Plan Trust Fund
Toronto, A6 |
SELL
|
- |
-1.44M- 85.05% |
$75.6M - $85.6M
|
254K
$15.8M
|
|
Feb 11, 2022
Q4 2021
|
Apg Asset Management N.V.
Amsterdam, P7 |
SELL
|
- |
-1.5M- 21.3% |
$78.4M - $88.8M
|
5.54M
$346M
|
|
Jan 18, 2022
Q4 2021
|
M&G Investment Management LTD
London, X0 |
SELL
|
- |
-1.65M- 40.52% |
$86.4M - $97.8M
|
2.43M
$151M
|
|
Feb 14, 2022
Q4 2021
|
Squarepoint Ops LLC
New York, NY |
SELL
|
- |
-1.87M- 88.85% |
$98M - $111M
|
235K
$14.7M
|
|
Feb 14, 2024
Q4 2021
|
Kbc Group Nv
|
SELL
|
- |
-2.02M- 75.99% |
$106M - $120M
|
639K
$39.9M
|
|
Feb 14, 2022
Q4 2021
|
D. E. Shaw & Co., Inc.
New York, NY |
SELL
|
- |
-2.75M- 36.34% |
$144M - $163M
|
4.81M
$300M
|
|
Feb 14, 2022
Q4 2021
|
Goldman Sachs Group Inc
New York, NY |
SELL
|
- |
-2.8M- 15.81% |
$146M - $166M
|
14.9M
$930M
|
|
Feb 14, 2022
Q4 2021
|
Israel Englander
Millennium Management LLC | New York, Ny
|
SELL
|
- |
-2.94M- 75.23% |
$154M - $174M
|
970K
$60.5M
|
|
Feb 14, 2022
Q4 2021
|
Capital Research Global Investors
Los Angeles, CA |
SELL
|
- |
-3M- 19.39% |
$157M - $178M
|
12.5M
$778M
|
|
Feb 14, 2022
Q4 2021
|
Wells Fargo & Company
San Francisco, CA |
SELL
|
- |
-3.03M- 18.81% |
$158M - $179M
|
13.1M
$815M
|
|
Feb 11, 2022
Q4 2021
|
Bank Of Montreal
Toronto, A6 |
SELL
|
- |
-3.14M- 29.77% |
$164M - $186M
|
7.4M
$461M
|
|
Feb 11, 2022
Q4 2021
|
Franklin Resources Inc
San Mateo, CA |
SELL
|
- |
-3.57M- 16.47% |
$187M - $211M
|
18.1M
$1.13B
|
|
Feb 10, 2022
Q4 2021
|
California Public Employees Retirement System
Sacramento, CA |
SELL
|
- |
-4.18M- 25.35% |
$218M - $247M
|
12.3M
$767M
|