Top Companies Sold by Institutions in Q2 2020
Ticker | Buy | Sell | Net Activity | |||||
---|---|---|---|---|---|---|---|---|
New Holding | Increment | Total | Sold Out | Reduction | Total | |||
WSBC
|
$ 0 0 Shares | $ 8K 400 Shares | $ 8K 400 Shares | $ 20.2M 995K Shares | $ 0 0 Shares | $ 20.2M 995K Shares | $-20.2M -995K Shares | |
PRIM
|
$ 0 0 Shares | $ 1K 89 Shares | $ 1K 89 Shares | $ 20.1M 1.13M Shares | $ 98K 5.56K Shares | $ 20.2M 1.14M Shares | $-20.2M -1.14M Shares | |
FAF
|
$ 242K 5.04K Shares | $ 6.39M 133K Shares | $ 6.64M 138K Shares | $ 20.1M 418K Shares | $ 81K 1.7K Shares | $ 20.2M 420K Shares | $-13.5M -282K Shares | |
BC
|
— | $ 20.2M 315K Shares | $ 9K 150 Shares | $ 20.2M 315K Shares | $-20.2M -315K Shares | |||
PM
|
$ 70K 1K Shares | $ 603K 8.61K Shares | $ 673K 9.61K Shares | $ 20.1M 287K Shares | $ 74K 1.07K Shares | $ 20.1M 288K Shares | $-19.5M -278K Shares | |
SAP
|
$ 271K 1.94K Shares | $ 95K 685 Shares | $ 366K 2.62K Shares | $ 20.1M 144K Shares | $ 41K 293 Shares | $ 20.1M 144K Shares | $-19.8M -141K Shares | |
RPV
|
$ 0 0 Shares | $ 181K 3.79K Shares | $ 181K 3.79K Shares | $ 20.1M 422K Shares | $ 3K 70 Shares | $ 20.1M 422K Shares | $-19.9M -418K Shares | |
MCS
|
— | $ 20.1M 1.51M Shares | $ 0 0 Shares | $ 20.1M 1.51M Shares | $-20.1M -1.51M Shares | |||
SMP
|
— | $ 20M 485K Shares | $ 76K 1.87K Shares | $ 20.1M 487K Shares | $-20.1M -487K Shares | |||
IMAX
|
— | $ 19.9M 1.78M Shares | $ 131K 11.7K Shares | $ 20.1M 1.79M Shares | $-20.1M -1.79M Shares | |||
IWR
|
$ 3.86M 72.1K Shares | $ 226K 4.23K Shares | $ 4.09M 76.3K Shares | $ 19.3M 360K Shares | $ 704K 13.1K Shares | $ 20M 373K Shares | $-15.9M -297K Shares | |
TLK
|
$ 201K 9.22K Shares | $ 8K 400 Shares | $ 210K 9.62K Shares | $ 20M 913K Shares | $ 0 0 Shares | $ 20M 913K Shares | $-19.8M -904K Shares | |
IGF
|
$ 142K 3.73K Shares | $ 26K 680 Shares | $ 168K 4.41K Shares | $ 19.9M 520K Shares | $ 78K 2.05K Shares | $ 20M 522K Shares | $-19.8M -517K Shares | |
PLUS
|
— | $ 20M 565K Shares | $ 0 0 Shares | $ 20M 565K Shares | $-20M -565K Shares | |||
CLR
|
$ 680K 38.8K Shares | $ 0 0 Shares | $ 680K 38.8K Shares | $ 20M 1.14M Shares | $ 0 0 Shares | $ 20M 1.14M Shares | $-19.3M -1.1M Shares | |
WSFS
|
$ 545K 19K Shares | $ 0 0 Shares | $ 545K 19K Shares | $ 20M 695K Shares | $ 0 0 Shares | $ 20M 695K Shares | $-19.4M -676K Shares | |
NWSA
|
$ 3K 312 Shares | $ 0 0 Shares | $ 3K 312 Shares | $ 19.9M 1.67M Shares | $ 0 0 Shares | $ 19.9M 1.67M Shares | $-19.9M -1.67M Shares | |
NMFC
|
— | $ 19.8M 2.14M Shares | $ 1K 207 Shares | $ 19.8M 2.14M Shares | $-19.8M -2.14M Shares | |||
AXON
|
$ 34K 350 Shares | $ 30K 310 Shares | $ 64K 660 Shares | $ 19.8M 202K Shares | $ 32K 335 Shares | $ 19.8M 202K Shares | $-19.8M -201K Shares | |
JCI
|
$ 434K 12.7K Shares | $ 12K 376 Shares | $ 447K 13.1K Shares | $ 19.7M 578K Shares | $ 23K 677 Shares | $ 19.8M 579K Shares | $-19.3M -565K Shares | |
OKTA
|
$ 341M 1.7M Shares | $ 620K 3.1K Shares | $ 341M 1.7M Shares | $ 15.7M 78.3K Shares | $ 4M 20K Shares | $ 19.7M 98.3K Shares | $322M 1.61M Shares | |
THC
|
$ 214K 11.8K Shares | $ 0 0 Shares | $ 214K 11.8K Shares | $ 19.7M 1.09M Shares | $ 0 0 Shares | $ 19.7M 1.09M Shares | $-19.5M -1.08M Shares | |
FTI
|
$ 821K 161K Shares | $ 0 0 Shares | $ 821K 161K Shares | $ 19.6M 3.86M Shares | $ 0 107 Shares | $ 19.6M 3.86M Shares | $-18.8M -3.69M Shares | |
LPLA
|
— | $ 19.4M 248K Shares | $ 147K 1.88K Shares | $ 19.6M 250K Shares | $-19.6M -250K Shares | |||
POLY
|
$ 206K 14.1K Shares | $ 0 0 Shares | $ 206K 14.1K Shares | $ 19.5M 1.33M Shares | $ 0 0 Shares | $ 19.5M 1.33M Shares | $-19.3M -1.32M Shares | |
NTCT
|
— | $ 19.5M 762K Shares | $ 0 14 Shares | $ 19.5M 762K Shares | $-19.5M -762K Shares | |||
CAL
|
— | $ 19.5M 2.33M Shares | $ 0 0 Shares | $ 19.5M 2.33M Shares | $-19.5M -2.33M Shares | |||
GOOG
|
$ 82K 1.17K Shares | $ 301K 4.27K Shares | $ 384K 5.44K Shares | $ 19.4M 275K Shares | $ 0 0 Shares | $ 19.4M 275K Shares | $-19M -269K Shares | |
EWG
|
— | $ 19.4M 715K Shares | $ 3K 139 Shares | $ 19.4M 716K Shares | $-19.4M -716K Shares | |||
EBS
|
$ 0 0 Shares | $ 4K 58 Shares | $ 4K 58 Shares | $ 19.4M 245K Shares | $ 0 0 Shares | $ 19.4M 245K Shares | $-19.4M -245K Shares | |
MNST
|
$ 0 0 Shares | $ 7K 115 Shares | $ 7K 115 Shares | $ 19.3M 278K Shares | $ 41K 604 Shares | $ 19.3M 279K Shares | $-19.3M -279K Shares | |
KAR
|
$ 1.72M 125K Shares | $ 2.13M 155K Shares | $ 3.85M 280K Shares | $ 19.3M 1.4M Shares | $ 1K 140 Shares | $ 19.3M 1.4M Shares | $-15.4M -1.12M Shares | |
GPI
|
$ 0 3 Shares | $ 4K 63 Shares | $ 4K 66 Shares | $ 19.3M 292K Shares | $ 0 0 Shares | $ 19.3M 292K Shares | $-19.3M -292K Shares | |
EQX
|
$ 28.1M 2.5M Shares | $ 0 0 Shares | $ 28.1M 2.5M Shares | $ 19.2M 1.72M Shares | $ 0 0 Shares | $ 19.2M 1.72M Shares | $8.8M 785K Shares | |
TRGP
|
$ 50K 2.5K Shares | $ 7.56M 377K Shares | $ 7.61M 379K Shares | $ 19.2M 958K Shares | $ 0 0 Shares | $ 19.2M 958K Shares | $-11.6M -579K Shares | |
CRTO
|
— | $ 18.5M 1.62M Shares | $ 749K 65.8K Shares | $ 19.2M 1.69M Shares | $-19.2M -1.69M Shares | |||
VREX
|
$ 11K 734 Shares | $ 0 0 Shares | $ 11K 734 Shares | $ 18.7M 1.23M Shares | $ 409K 27K Shares | $ 19.1M 1.26M Shares | $-19.1M -1.26M Shares | |
AQN
|
$ 0 0 Shares | $ 258K 20K Shares | $ 258K 20K Shares | $ 19M 1.47M Shares | $ 0 0 Shares | $ 19M 1.47M Shares | $-18.8M -1.45M Shares | |
GLW
|
$ 6.67M 258K Shares | $ 48K 1.89K Shares | $ 6.72M 260K Shares | $ 18.6M 719K Shares | $ 398K 15.4K Shares | $ 19M 734K Shares | $-12.3M -474K Shares | |
ROCC
|
— | $ 19M 1.99M Shares | $ 0 0 Shares | $ 19M 1.99M Shares | $-19M -1.99M Shares | |||
ALGT
|
$ 9K 85 Shares | $ 0 0 Shares | $ 9K 85 Shares | $ 19M 174K Shares | $ 0 0 Shares | $ 19M 174K Shares | $-19M -174K Shares | |
ORCC
|
$ 0 0 Shares | $ 1.98M 160K Shares | $ 1.98M 160K Shares | $ 19M 1.54M Shares | $ 0 0 Shares | $ 19M 1.54M Shares | $-17M -1.38M Shares | |
XHR
|
$ 2K 275 Shares | $ 0 0 Shares | $ 2K 275 Shares | $ 18.9M 2.03M Shares | $ 0 0 Shares | $ 18.9M 2.03M Shares | $-18.9M -2.03M Shares | |
ODFL
|
$ 0 0 Shares | $ 9K 56 Shares | $ 9K 56 Shares | $ 17.4M 102K Shares | $ 1.55M 9.12K Shares | $ 18.9M 112K Shares | $-18.9M -112K Shares | |
AGR
|
$ 12K 300 Shares | $ 0 0 Shares | $ 12K 300 Shares | $ 18.9M 450K Shares | $ 11K 266 Shares | $ 18.9M 451K Shares | $-18.9M -450K Shares | |
GSK
|
$ 12K 291 Shares | $ 633K 15.2K Shares | $ 645K 15.5K Shares | $ 18.6M 446K Shares | $ 286K 6.89K Shares | $ 18.8M 453K Shares | $-18.2M -438K Shares | |
QTWO
|
— | $ 18.8M 219K Shares | $ 0 0 Shares | $ 18.8M 219K Shares | $-18.8M -219K Shares | |||
IYZ
|
$ 2K 100 Shares | $ 6K 251 Shares | $ 9K 351 Shares | $ 18.8M 681K Shares | $ 0 0 Shares | $ 18.8M 681K Shares | $-18.8M -681K Shares | |
IFS
|
— | $ 18.7M 708K Shares | $ 0 0 Shares | $ 18.7M 708K Shares | $-18.7M -708K Shares | |||
CMCO
|
— | $ 18.5M 554K Shares | $ 149K 4.46K Shares | $ 18.7M 559K Shares | $-18.7M -559K Shares |