Top Companies Sold by Institutions in Q3 2022
Ticker | Buy | Sell | Net Activity | |||||
---|---|---|---|---|---|---|---|---|
New Holding | Increment | Total | Sold Out | Reduction | Total | |||
AAPL
|
$ 6.43B 46.5M Shares | $ 18.6B 135M Shares | $ 25B 181M Shares | $ 218M 1.58M Shares | $ 28.1B 203M Shares | $ 28.3B 205M Shares | $-3.28B -23.8M Shares | |
MSFT
|
$ 6.16B 26.4M Shares | $ 32.1B 138M Shares | $ 38.3B 164M Shares | $ 461M 1.98M Shares | $ 26.4B 113M Shares | $ 26.9B 115M Shares | $11.4B 48.9M Shares | |
AMZN
|
$ 5.99B 53M Shares | $ 21.4B 189M Shares | $ 27.4B 242M Shares | $ 154M 1.37M Shares | $ 19.3B 171M Shares | $ 19.4B 172M Shares | $7.94B 70.2M Shares | |
META
|
$ 1.93B 14.2M Shares | $ 8.98B 66.2M Shares | $ 10.9B 80.4M Shares | $ 50.4M 371K Shares | $ 13.1B 96.8M Shares | $ 13.2B 97.2M Shares | $-2.27B -16.7M Shares | |
UNH
|
$ 2.95B 5.84M Shares | $ 10.2B 20.2M Shares | $ 13.2B 26.1M Shares | $ 195M 387K Shares | $ 12.8B 25.4M Shares | $ 13B 25.8M Shares | $163M 324K Shares | |
SPY
|
$ 3.55B 9.94M Shares | $ 14.7B 41.3M Shares | $ 18.3B 51.2M Shares | $ 30.4M 85.2K Shares | $ 11B 30.8M Shares | $ 11B 30.9M Shares | $7.24B 20.3M Shares | |
IVV
|
$ 1.37B 3.81M Shares | $ 10.5B 29.2M Shares | $ 11.8B 33M Shares | $ 218M 607K Shares | $ 9.6B 26.8M Shares | $ 9.81B 27.4M Shares | $2.03B 5.66M Shares | |
CVX
|
$ 419M 2.91M Shares | $ 6.03B 42M Shares | $ 6.45B 44.9M Shares | $ 139M 965K Shares | $ 9.31B 64.8M Shares | $ 9.44B 65.7M Shares | $-2.99B -20.8M Shares | |
NVDA
|
$ 1.18B 9.68M Shares | $ 7.09B 58.4M Shares | $ 8.27B 68.1M Shares | $ 65M 535K Shares | $ 8.89B 73.2M Shares | $ 8.95B 73.7M Shares | $-683M -5.63M Shares | |
V
|
$ 1.8B 10.1M Shares | $ 10.9B 61.2M Shares | $ 12.7B 71.3M Shares | $ 158M 890K Shares | $ 8.2B 46.2M Shares | $ 8.36B 47.1M Shares | $4.3B 24.2M Shares | |
JNJ
|
$ 419M 2.56M Shares | $ 6.42B 39.3M Shares | $ 6.84B 41.9M Shares | $ 92.3M 565K Shares | $ 8.22B 50.3M Shares | $ 8.31B 50.9M Shares | $-1.47B -9.01M Shares | |
JPM
|
$ 1.31B 12.5M Shares | $ 7.24B 69.3M Shares | $ 8.55B 81.8M Shares | $ 115M 1.1M Shares | $ 7.87B 75.3M Shares | $ 7.99B 76.4M Shares | $560M 5.36M Shares | |
QQQ
|
$ 1.69B 6.32M Shares | $ 8.65B 32.4M Shares | $ 10.3B 38.7M Shares | $ 40.7M 152K Shares | $ 7.59B 28.4M Shares | $ 7.63B 28.5M Shares | $2.7B 10.1M Shares | |
TMO
|
$ 2.79B 5.5M Shares | $ 5.91B 11.7M Shares | $ 8.7B 17.2M Shares | $ 43.8M 86.4K Shares | $ 7.34B 14.5M Shares | $ 7.38B 14.6M Shares | $1.32B 2.61M Shares | |
TSM
|
$ 8.82B 129M Shares | $ 2.66B 38.7M Shares | $ 11.5B 167M Shares | $ 1.75M 25.6K Shares | $ 7.32B 107M Shares | $ 7.32B 107M Shares | $4.15B 60.6M Shares | |
LLY
|
$ 458M 1.42M Shares | $ 7.74B 23.9M Shares | $ 8.2B 25.4M Shares | $ 5.54M 17.1K Shares | $ 7.3B 22.6M Shares | $ 7.3B 22.6M Shares | $896M 2.77M Shares | |
XOM
|
$ 944M 10.8M Shares | $ 7.28B 83.4M Shares | $ 8.23B 94.3M Shares | $ 20.3M 232K Shares | $ 7.08B 81.1M Shares | $ 7.1B 81.3M Shares | $1.13B 13M Shares | |
MA
|
$ 1.37B 4.82M Shares | $ 5.17B 18.2M Shares | $ 6.54B 23M Shares | $ 30.5M 107K Shares | $ 6.88B 24.2M Shares | $ 6.91B 24.3M Shares | $-377M -1.32M Shares | |
BRK-A
|
$ 19.7B 48.6K Shares | $ 245B 603K Shares | $ 265B 651K Shares | $ 1.63M 4 Shares | $ 6.71B 16.5K Shares | $ 6.71B 16.5K Shares | $258B 635K Shares | |
BRK-B
|
$ 1.6B 5.99M Shares | $ 5.36B 20.1M Shares | $ 6.96B 26.1M Shares | $ 14.1M 52.8K Shares | $ 6.62B 24.8M Shares | $ 6.63B 24.8M Shares | $326M 1.22M Shares | |
PG
|
$ 266M 2.11M Shares | $ 4.4B 34.9M Shares | $ 4.67B 37M Shares | $ 259M 2.05M Shares | $ 6.16B 48.8M Shares | $ 6.42B 50.8M Shares | $-1.75B -13.8M Shares | |
TXN
|
$ 1.91B 12.3M Shares | $ 3.41B 22.1M Shares | $ 5.32B 34.4M Shares | $ 102M 661K Shares | $ 6.18B 39.9M Shares | $ 6.28B 40.6M Shares | $-959M -6.19M Shares | |
ABBV
|
$ 797M 5.94M Shares | $ 6.13B 45.7M Shares | $ 6.93B 51.6M Shares | $ 23.1M 172K Shares | $ 6.09B 45.4M Shares | $ 6.12B 45.6M Shares | $813M 6.06M Shares | |
SPGI
|
$ 990M 3.24M Shares | $ 3.16B 10.3M Shares | $ 4.15B 13.6M Shares | $ 15.4M 50.4K Shares | $ 6.07B 19.9M Shares | $ 6.09B 19.9M Shares | $-1.94B -6.36M Shares | |
CRM
|
$ 2.12B 14.7M Shares | $ 5.31B 36.9M Shares | $ 7.42B 51.6M Shares | $ 22.2M 154K Shares | $ 5.89B 40.9M Shares | $ 5.91B 41.1M Shares | $1.51B 10.5M Shares | |
ADBE
|
$ 1.16B 4.21M Shares | $ 4.52B 16.4M Shares | $ 5.68B 20.6M Shares | $ 28.8M 105K Shares | $ 5.8B 21.1M Shares | $ 5.83B 21.2M Shares | $-149M -540K Shares | |
OXY
|
$ 702M 11.4M Shares | $ 5.18B 84.3M Shares | $ 5.88B 95.7M Shares | $ 11M 179K Shares | $ 5.75B 93.6M Shares | $ 5.76B 93.7M Shares | $122M 1.99M Shares | |
LOW
|
$ 283M 1.51M Shares | $ 1.85B 9.86M Shares | $ 2.14B 11.4M Shares | $ 45.9M 245K Shares | $ 5.46B 29.1M Shares | $ 5.51B 29.3M Shares | $-3.37B -18M Shares | |
WMT
|
$ 545M 4.2M Shares | $ 5.08B 39.2M Shares | $ 5.63B 43.4M Shares | $ 26.2M 202K Shares | $ 5.45B 42M Shares | $ 5.48B 42.2M Shares | $149M 1.15M Shares | |
CQP
|
$ 5.43B 102M Shares | $ 71.8M 1.35M Shares | $ 5.5B 103M Shares | $ 0 0 Shares | $ 5.47B 102M Shares | $ 5.47B 102M Shares | $33.2M 621K Shares | |
CI
|
$ 487M 1.76M Shares | $ 3.32B 12M Shares | $ 3.81B 13.7M Shares | $ 2.49M 8.98K Shares | $ 5.44B 19.6M Shares | $ 5.44B 19.6M Shares | $-1.63B -5.86M Shares | |
CMCSA
|
$ 597M 20.4M Shares | $ 2.97B 101M Shares | $ 3.57B 122M Shares | $ 57.5M 1.96M Shares | $ 5.34B 182M Shares | $ 5.39B 184M Shares | $-1.83B -62.3M Shares | |
DHR
|
$ 2.07B 8.03M Shares | $ 5.05B 19.5M Shares | $ 7.12B 27.6M Shares | $ 47.8M 185K Shares | $ 5.21B 20.2M Shares | $ 5.26B 20.4M Shares | $1.86B 7.2M Shares | |
MRK
|
$ 1.21B 14M Shares | $ 5.2B 60.4M Shares | $ 6.41B 74.4M Shares | $ 25.5M 296K Shares | $ 5.18B 60.1M Shares | $ 5.21B 60.4M Shares | $1.2B 13.9M Shares | |
COST
|
$ 1.38B 2.93M Shares | $ 4.88B 10.3M Shares | $ 6.27B 13.3M Shares | $ 40.1M 84.9K Shares | $ 5.16B 10.9M Shares | $ 5.21B 11M Shares | $1.06B 2.25M Shares | |
COP
|
$ 311M 3.04M Shares | $ 4.33B 42.3M Shares | $ 4.64B 45.3M Shares | $ 1.98M 19.4K Shares | $ 5.17B 50.5M Shares | $ 5.17B 50.5M Shares | $-530M -5.18M Shares | |
NLY
|
$ 0 0 Shares | $ 1.52M 88.4K Shares | $ 1.52M 88.4K Shares | $ 5.09B 296M Shares | $ 15.3M 893K Shares | $ 5.1B 297M Shares | $-5.1B -297M Shares | |
VZ
|
$ 659M 17.4M Shares | $ 3.43B 90.5M Shares | $ 4.09B 108M Shares | $ 64.6M 1.7M Shares | $ 4.94B 130M Shares | $ 5B 132M Shares | $-911M -24M Shares | |
USB
|
$ 359M 8.91M Shares | $ 2.3B 56.9M Shares | $ 2.66B 65.8M Shares | $ 113M 2.8M Shares | $ 4.89B 121M Shares | $ 5B 124M Shares | $-2.34B -58.1M Shares | |
SCHW
|
$ 2.89B 40.2M Shares | $ 3.89B 54.1M Shares | $ 6.78B 94.3M Shares | $ 40.3M 560K Shares | $ 4.92B 68.5M Shares | $ 4.96B 69.1M Shares | $1.81B 25.2M Shares | |
BAC
|
$ 467M 15.4M Shares | $ 6.14B 203M Shares | $ 6.6B 219M Shares | $ 51.2M 1.7M Shares | $ 4.91B 163M Shares | $ 4.96B 164M Shares | $1.64B 54.3M Shares | |
HD
|
$ 1.4B 5.09M Shares | $ 5.36B 19.4M Shares | $ 6.77B 24.5M Shares | $ 68.5M 248K Shares | $ 4.88B 17.7M Shares | $ 4.95B 17.9M Shares | $1.82B 6.6M Shares | |
UNP
|
$ 583M 2.99M Shares | $ 2.92B 15M Shares | $ 3.5B 18M Shares | $ 95.8M 492K Shares | $ 4.77B 24.5M Shares | $ 4.86B 25M Shares | $-1.36B -6.98M Shares | |
MS
|
$ 177M 2.25M Shares | $ 3.79B 47.9M Shares | $ 3.96B 50.2M Shares | $ 27.7M 351K Shares | $ 4.82B 61M Shares | $ 4.85B 61.4M Shares | $-886M -11.2M Shares | |
BMY
|
$ 144M 2.03M Shares | $ 4.89B 68.7M Shares | $ 5.03B 70.8M Shares | $ 23.8M 335K Shares | $ 4.67B 65.6M Shares | $ 4.69B 66M Shares | $340M 4.78M Shares | |
ATVI
|
$ 3.64B 48.9M Shares | $ 3.27B 44M Shares | $ 6.91B 92.9M Shares | $ 3.27M 43.9K Shares | $ 4.52B 60.8M Shares | $ 4.53B 60.9M Shares | $2.38B 32M Shares | |
ESGU
|
$ 226M 2.76M Shares | $ 4.39B 53.4M Shares | $ 4.61B 56.2M Shares | $ 816K 9.95K Shares | $ 4.48B 54.6M Shares | $ 4.48B 54.6M Shares | $131M 1.59M Shares | |
PYPL
|
$ 2.61B 30.3M Shares | $ 4.32B 50.2M Shares | $ 6.93B 80.6M Shares | $ 6.12M 71.1K Shares | $ 4.46B 51.9M Shares | $ 4.47B 51.9M Shares | $2.46B 28.6M Shares | |
HUM
|
$ 757M 1.56M Shares | $ 3.18B 6.56M Shares | $ 3.94B 8.12M Shares | $ 210M 433K Shares | $ 4.22B 8.7M Shares | $ 4.43B 9.13M Shares | $-493M -1.02M Shares | |
INTC
|
$ 237M 9.2M Shares | $ 3.41B 132M Shares | $ 3.65B 141M Shares | $ 5.63M 218K Shares | $ 4.4B 171M Shares | $ 4.41B 171M Shares | $-760M -29.5M Shares |