Top Companies Sold by Institutions in Q3 2022
Ticker | Buy | Sell | Net Activity | |||||
---|---|---|---|---|---|---|---|---|
New Holding | Increment | Total | Sold Out | Reduction | Total | |||
ACGL
|
$ 247M 5.43M Shares | $ 523M 11.5M Shares | $ 770M 16.9M Shares | $ 57K 1.25K Shares | $ 678M 14.9M Shares | $ 678M 14.9M Shares | $91.9M 2.02M Shares | |
PRI
|
$ 543M 4.4M Shares | $ 126M 1.02M Shares | $ 669M 5.42M Shares | $ 512M 4.15M Shares | $ 164M 1.33M Shares | $ 676M 5.48M Shares | $-7.27M -58.9K Shares | |
PARA
|
$ 69.6M 3.65M Shares | $ 954M 50.1M Shares | $ 1.02B 53.8M Shares | $ 516K 27.1K Shares | $ 675M 35.5M Shares | $ 676M 35.5M Shares | $348M 18.3M Shares | |
EQH
|
$ 91.2M 3.46M Shares | $ 662M 25.1M Shares | $ 753M 28.6M Shares | $ 11.5M 438K Shares | $ 661M 25.1M Shares | $ 673M 25.5M Shares | $80.9M 3.07M Shares | |
UDR
|
$ 36.5M 876K Shares | $ 571M 13.7M Shares | $ 608M 14.6M Shares | $ 3.23M 77.3K Shares | $ 669M 16M Shares | $ 672M 16.1M Shares | $-64.5M -1.55M Shares | |
WSO
|
$ 606M 2.35M Shares | $ 336M 1.31M Shares | $ 942M 3.66M Shares | $ 450M 1.75M Shares | $ 222M 864K Shares | $ 672M 2.61M Shares | $270M 1.05M Shares | |
CZR
|
$ 76.3M 2.37M Shares | $ 572M 17.7M Shares | $ 649M 20.1M Shares | $ 3K 94 Shares | $ 671M 20.8M Shares | $ 671M 20.8M Shares | $-22.8M -707K Shares | |
FITB
|
$ 101M 3.17M Shares | $ 674M 21.1M Shares | $ 775M 24.2M Shares | $ 2.33M 72.9K Shares | $ 669M 20.9M Shares | $ 671M 21M Shares | $104M 3.24M Shares | |
FIVE
|
$ 519M 3.77M Shares | $ 567M 4.12M Shares | $ 1.09B 7.89M Shares | $ 5.44M 39.5K Shares | $ 662M 4.81M Shares | $ 667M 4.85M Shares | $420M 3.05M Shares | |
CGNX
|
$ 283M 6.83M Shares | $ 487M 11.8M Shares | $ 770M 18.6M Shares | $ 7.6M 183K Shares | $ 659M 15.9M Shares | $ 666M 16.1M Shares | $104M 2.51M Shares | |
CPNG
|
$ 284M 17M Shares | $ 610M 36.6M Shares | $ 894M 53.6M Shares | $ 587K 35.2K Shares | $ 665M 39.9M Shares | $ 665M 39.9M Shares | $229M 13.7M Shares | |
RPRX
|
$ 95.5M 2.38M Shares | $ 615M 15.3M Shares | $ 711M 17.7M Shares | $ 246K 6.14K Shares | $ 664M 16.5M Shares | $ 665M 16.5M Shares | $46.3M 1.15M Shares | |
Y
|
$ 179M 213K Shares | $ 699M 833K Shares | $ 878M 1.05M Shares | $ 31K 37 Shares | $ 664M 791K Shares | $ 664M 791K Shares | $214M 255K Shares | |
BFAM
|
$ 469M 8.13M Shares | $ 166M 2.88M Shares | $ 635M 11M Shares | $ 112M 1.94M Shares | $ 549M 9.52M Shares | $ 661M 11.5M Shares | $-26.3M -456K Shares | |
HAS
|
$ 88.4M 1.31M Shares | $ 495M 7.34M Shares | $ 583M 8.65M Shares | $ 2.73M 40.4K Shares | $ 658M 9.76M Shares | $ 661M 9.8M Shares | $-78M -1.16M Shares | |
LSI
|
$ 71.2M 642K Shares | $ 528M 4.77M Shares | $ 599M 5.41M Shares | $ 319K 2.89K Shares | $ 661M 5.96M Shares | $ 661M 5.97M Shares | $-61.7M -557K Shares | |
EXPD
|
$ 86.1M 975K Shares | $ 638M 7.23M Shares | $ 724M 8.2M Shares | $ 402K 4.56K Shares | $ 659M 7.47M Shares | $ 660M 7.47M Shares | $64.8M 734K Shares | |
LPX
|
$ 634M 12.4M Shares | $ 97.5M 1.9M Shares | $ 732M 14.3M Shares | $ 4.91M 95.9K Shares | $ 654M 12.8M Shares | $ 659M 12.9M Shares | $72.7M 1.42M Shares | |
WAL
|
$ 578M 8.79M Shares | $ 283M 4.31M Shares | $ 861M 13.1M Shares | $ 0 0 Shares | $ 657M 10M Shares | $ 657M 10M Shares | $203M 3.09M Shares | |
CDW
|
$ 119M 764K Shares | $ 1.11B 7.14M Shares | $ 1.23B 7.9M Shares | $ 33M 212K Shares | $ 624M 4M Shares | $ 657M 4.21M Shares | $577M 3.7M Shares | |
FLEX
|
$ 325M 19.5M Shares | $ 344M 20.6M Shares | $ 669M 40.1M Shares | $ 76K 4.6K Shares | $ 656M 39.4M Shares | $ 656M 39.4M Shares | $12.4M 745K Shares | |
IVW
|
$ 142M 2.45M Shares | $ 383M 6.62M Shares | $ 524M 9.07M Shares | $ 2.89M 50K Shares | $ 653M 11.3M Shares | $ 656M 11.3M Shares | $-132M -2.28M Shares | |
QRVO
|
$ 98.3M 1.24M Shares | $ 489M 6.16M Shares | $ 588M 7.4M Shares | $ 723K 9.11K Shares | $ 655M 8.25M Shares | $ 656M 8.26M Shares | $-68.1M -858K Shares | |
IPG
|
$ 30.4M 1.19M Shares | $ 523M 20.4M Shares | $ 553M 21.6M Shares | $ 54.3M 2.12M Shares | $ 601M 23.5M Shares | $ 655M 25.6M Shares | $-102M -3.98M Shares | |
ETR
|
$ 51.8M 515K Shares | $ 822M 8.17M Shares | $ 874M 8.69M Shares | $ 2.03M 20.2K Shares | $ 651M 6.47M Shares | $ 654M 6.49M Shares | $221M 2.19M Shares | |
PFG
|
$ 82.6M 1.14M Shares | $ 367M 5.09M Shares | $ 450M 6.24M Shares | $ 12.2M 169K Shares | $ 641M 8.88M Shares | $ 653M 9.05M Shares | $-203M -2.81M Shares | |
MUSA
|
$ 139M 505K Shares | $ 405M 1.47M Shares | $ 544M 1.98M Shares | $ 0 0 Shares | $ 651M 2.37M Shares | $ 651M 2.37M Shares | $-107M -390K Shares | |
OMCL
|
$ 134M 1.55M Shares | $ 264M 3.04M Shares | $ 398M 4.59M Shares | $ 9K 106 Shares | $ 651M 7.52M Shares | $ 651M 7.52M Shares | $-253M -2.92M Shares | |
WSM
|
$ 111M 942K Shares | $ 204M 1.73M Shares | $ 315M 2.67M Shares | $ 0 0 Shares | $ 650M 5.52M Shares | $ 650M 5.52M Shares | $-335M -2.84M Shares | |
TRGP
|
$ 170M 2.82M Shares | $ 687M 11.4M Shares | $ 857M 14.2M Shares | $ 3.66M 60.6K Shares | $ 645M 10.7M Shares | $ 648M 10.7M Shares | $209M 3.46M Shares | |
BMRN
|
$ 92.7M 1.09M Shares | $ 900M 10.6M Shares | $ 992M 11.7M Shares | $ 2.72M 32.1K Shares | $ 642M 7.57M Shares | $ 644M 7.6M Shares | $348M 4.1M Shares | |
AMH
|
$ 194M 5.9M Shares | $ 476M 14.5M Shares | $ 669M 20.4M Shares | $ 150M 4.56M Shares | $ 494M 15.1M Shares | $ 644M 19.6M Shares | $25.5M 776K Shares | |
FLO
|
$ 46.9M 1.9M Shares | $ 167M 6.77M Shares | $ 214M 8.67M Shares | $ 8.03M 325K Shares | $ 635M 25.7M Shares | $ 643M 26.1M Shares | $-429M -17.4M Shares | |
CUBE
|
$ 275M 6.87M Shares | $ 273M 6.82M Shares | $ 548M 13.7M Shares | $ 1.59M 39.8K Shares | $ 641M 16M Shares | $ 643M 16M Shares | $-94.2M -2.35M Shares | |
IP
|
$ 58.9M 1.86M Shares | $ 287M 9.06M Shares | $ 346M 10.9M Shares | $ 1.17M 36.9K Shares | $ 641M 20.2M Shares | $ 642M 20.3M Shares | $-296M -9.34M Shares | |
LII
|
$ 701M 3.15M Shares | $ 366M 1.64M Shares | $ 1.07B 4.79M Shares | $ 278M 1.25M Shares | $ 361M 1.62M Shares | $ 639M 2.87M Shares | $427M 1.92M Shares | |
RF
|
$ 253M 12.6M Shares | $ 594M 29.6M Shares | $ 847M 42.2M Shares | $ 601K 30K Shares | $ 637M 31.8M Shares | $ 638M 31.8M Shares | $209M 10.4M Shares | |
EGP
|
$ 409M 2.83M Shares | $ 268M 1.85M Shares | $ 676M 4.68M Shares | $ 2.65M 18.4K Shares | $ 634M 4.39M Shares | $ 636M 4.41M Shares | $39.8M 276K Shares | |
WAT
|
$ 157M 582K Shares | $ 627M 2.32M Shares | $ 783M 2.91M Shares | $ 5.43M 20.2K Shares | $ 629M 2.33M Shares | $ 634M 2.35M Shares | $149M 553K Shares | |
GTLS
|
$ 102M 555K Shares | $ 623M 3.38M Shares | $ 725M 3.93M Shares | $ 1.62M 8.77K Shares | $ 631M 3.42M Shares | $ 633M 3.43M Shares | $92.5M 502K Shares | |
GLOB
|
$ 330M 1.76M Shares | $ 634M 3.39M Shares | $ 964M 5.15M Shares | $ 158K 849 Shares | $ 632M 3.38M Shares | $ 632M 3.38M Shares | $332M 1.78M Shares | |
TECK
|
$ 171M 5.62M Shares | $ 898M 29.5M Shares | $ 1.07B 35.1M Shares | $ 14M 459K Shares | $ 616M 20.2M Shares | $ 629M 20.7M Shares | $439M 14.4M Shares | |
SSB
|
$ 307M 3.88M Shares | $ 217M 2.75M Shares | $ 524M 6.62M Shares | $ 2K 28 Shares | $ 626M 7.91M Shares | $ 626M 7.91M Shares | $-102M -1.28M Shares | |
JNPR
|
$ 85.1M 3.26M Shares | $ 527M 20.2M Shares | $ 612M 23.4M Shares | $ 3.89M 149K Shares | $ 621M 23.8M Shares | $ 625M 23.9M Shares | $-13.2M -505K Shares | |
CNP
|
$ 77.7M 2.76M Shares | $ 889M 31.5M Shares | $ 967M 34.3M Shares | $ 116K 4.15K Shares | $ 625M 22.2M Shares | $ 625M 22.2M Shares | $342M 12.1M Shares | |
LKQ
|
$ 54M 1.15M Shares | $ 447M 9.48M Shares | $ 501M 10.6M Shares | $ 0 0 Shares | $ 624M 13.2M Shares | $ 624M 13.2M Shares | $-123M -2.61M Shares | |
PNFP
|
$ 336M 4.14M Shares | $ 251M 3.1M Shares | $ 587M 7.24M Shares | $ 71.9M 887K Shares | $ 552M 6.8M Shares | $ 624M 7.69M Shares | $-36.2M -447K Shares | |
AXS
|
$ 584M 11.9M Shares | $ 102M 2.07M Shares | $ 686M 14M Shares | $ 0 0 Shares | $ 622M 12.6M Shares | $ 622M 12.6M Shares | $64.3M 1.31M Shares | |
UBS
|
$ 85.7M 5.91M Shares | $ 566M 39M Shares | $ 652M 44.9M Shares | $ 8.71M 600K Shares | $ 611M 42.1M Shares | $ 620M 42.7M Shares | $32.4M 2.23M Shares | |
INDA
|
$ 318M 7.65M Shares | $ 472M 11.3M Shares | $ 790M 19M Shares | $ 7.25M 174K Shares | $ 611M 14.7M Shares | $ 618M 14.9M Shares | $172M 4.13M Shares |