Top Companies Sold by Institutions in Q3 2024
Ticker | Buy | Sell | Net Activity | |||||
---|---|---|---|---|---|---|---|---|
New Holding | Increment | Total | Sold Out | Reduction | Total | |||
WFC
|
$ 443M 7.85M Shares | $ 5.45B 96.6M Shares | $ 5.9B 104M Shares | $ 198K 3.52K Shares | $ 7.19B 127M Shares | $ 7.2B 127M Shares | $-1.3B -23M Shares | |
SCHW
|
$ 649M 10M Shares | $ 5.7B 87.9M Shares | $ 6.35B 97.9M Shares | $ 826K 12.8K Shares | $ 7.17B 111M Shares | $ 7.17B 111M Shares | $-823M -12.7M Shares | |
UBER
|
$ 6.53B 86.9M Shares | $ 7.37B 98.1M Shares | $ 13.9B 185M Shares | $ 4.18M 55.6K Shares | $ 7.1B 94.4M Shares | $ 7.1B 94.5M Shares | $6.8B 90.5M Shares | |
ASML
|
$ 644M 773K Shares | $ 3.49B 4.19M Shares | $ 4.14B 4.97M Shares | $ 2.03M 2.43K Shares | $ 7.05B 8.46M Shares | $ 7.05B 8.46M Shares | $-2.91B -3.5M Shares | |
ABBV
|
$ 759M 3.85M Shares | $ 7.76B 39.3M Shares | $ 8.52B 43.1M Shares | $ 0 0 Shares | $ 7.03B 35.6M Shares | $ 7.03B 35.6M Shares | $1.49B 7.55M Shares | |
TJX
|
$ 528M 4.49M Shares | $ 3.68B 31.3M Shares | $ 4.21B 35.8M Shares | $ 2.57M 21.9K Shares | $ 6.96B 59.2M Shares | $ 6.97B 59.3M Shares | $-2.76B -23.5M Shares | |
AMGN
|
$ 387M 1.2M Shares | $ 6.72B 20.9M Shares | $ 7.11B 22.1M Shares | $ 9.36M 29K Shares | $ 6.93B 21.5M Shares | $ 6.93B 21.5M Shares | $174M 541K Shares | |
VTI
|
$ 841M 2.97M Shares | $ 4.65B 16.4M Shares | $ 5.49B 19.4M Shares | $ 0 0 Shares | $ 6.93B 24.5M Shares | $ 6.93B 24.5M Shares | $-1.44B -5.09M Shares | |
PM
|
$ 685M 5.64M Shares | $ 5.32B 43.9M Shares | $ 6.01B 49.5M Shares | $ 1.28M 10.6K Shares | $ 6.9B 56.9M Shares | $ 6.9B 56.9M Shares | $-893M -7.36M Shares | |
ADI
|
$ 251M 1.09M Shares | $ 4.42B 19.2M Shares | $ 4.67B 20.3M Shares | $ 760K 3.3K Shares | $ 6.86B 29.8M Shares | $ 6.86B 29.8M Shares | $-2.19B -9.5M Shares | |
INTC
|
$ 309M 13.2M Shares | $ 4.95B 211M Shares | $ 5.26B 224M Shares | $ 8.76M 374K Shares | $ 6.85B 292M Shares | $ 6.86B 292M Shares | $-1.6B -68.2M Shares | |
DIS
|
$ 1.11B 11.5M Shares | $ 6.85B 71.2M Shares | $ 7.95B 82.7M Shares | $ 21M 218K Shares | $ 6.83B 71M Shares | $ 6.85B 71.2M Shares | $1.1B 11.5M Shares | |
GE
|
$ 573M 3.04M Shares | $ 5.84B 31M Shares | $ 6.41B 34M Shares | $ 246K 1.31K Shares | $ 6.81B 36.1M Shares | $ 6.81B 36.1M Shares | $-393M -2.08M Shares | |
CME
|
$ 523M 2.37M Shares | $ 6.25B 28.3M Shares | $ 6.77B 30.7M Shares | $ 1.21M 5.47K Shares | $ 6.58B 29.8M Shares | $ 6.58B 29.8M Shares | $191M 866K Shares | |
KO
|
$ 2B 27.8M Shares | $ 7.79B 108M Shares | $ 9.79B 136M Shares | $ 41.3M 575K Shares | $ 6.52B 90.7M Shares | $ 6.56B 91.2M Shares | $3.23B 44.9M Shares | |
ISRG
|
$ 1.51B 3.07M Shares | $ 5.45B 11.1M Shares | $ 6.96B 14.2M Shares | $ 294K 600 Shares | $ 6.49B 13.2M Shares | $ 6.49B 13.2M Shares | $465M 947K Shares | |
SHW
|
$ 616M 1.61M Shares | $ 4.8B 12.6M Shares | $ 5.42B 14.2M Shares | $ 1.83M 4.8K Shares | $ 6.45B 16.9M Shares | $ 6.45B 16.9M Shares | $-1.03B -2.7M Shares | |
ETN
|
$ 754M 2.28M Shares | $ 4.66B 14.1M Shares | $ 5.42B 16.3M Shares | $ 12.6M 38K Shares | $ 6.2B 18.7M Shares | $ 6.22B 18.8M Shares | $-799M -2.41M Shares | |
QCOM
|
$ 580M 3.41M Shares | $ 8.5B 50M Shares | $ 9.08B 53.4M Shares | $ 5.05M 29.7K Shares | $ 6.18B 36.4M Shares | $ 6.19B 36.4M Shares | $2.89B 17M Shares | |
JNJ
|
$ 980M 6.05M Shares | $ 10.1B 62.2M Shares | $ 11.1B 68.2M Shares | $ 0 0 Shares | $ 6.16B 38M Shares | $ 6.16B 38M Shares | $4.9B 30.2M Shares | |
APH
|
$ 1.06B 16.3M Shares | $ 3.4B 52.2M Shares | $ 4.46B 68.5M Shares | $ 0 0 Shares | $ 6.05B 92.8M Shares | $ 6.05B 92.8M Shares | $-1.59B -24.3M Shares | |
MDT
|
$ 572M 6.35M Shares | $ 4.63B 51.5M Shares | $ 5.21B 57.8M Shares | $ 568K 6.31K Shares | $ 6.03B 67M Shares | $ 6.03B 67M Shares | $-823M -9.14M Shares | |
CMCSA
|
$ 788M 18.9M Shares | $ 4.38B 105M Shares | $ 5.17B 124M Shares | $ 20.3M 485K Shares | $ 6B 144M Shares | $ 6.02B 144M Shares | $-857M -20.5M Shares | |
MELI
|
$ 1.09B 531K Shares | $ 4.74B 2.31M Shares | $ 5.82B 2.84M Shares | $ 1.19M 579 Shares | $ 5.97B 2.91M Shares | $ 5.97B 2.91M Shares | $-142M -69.4K Shares | |
PGR
|
$ 1.27B 5M Shares | $ 5.3B 20.9M Shares | $ 6.57B 25.9M Shares | $ 0 0 Shares | $ 5.96B 23.5M Shares | $ 5.96B 23.5M Shares | $609M 2.4M Shares | |
CSCO
|
$ 671M 12.6M Shares | $ 5.42B 102M Shares | $ 6.09B 114M Shares | $ 790K 14.9K Shares | $ 5.85B 110M Shares | $ 5.85B 110M Shares | $240M 4.5M Shares | |
REGN
|
$ 656M 624K Shares | $ 4.73B 4.5M Shares | $ 5.38B 5.12M Shares | $ 0 0 Shares | $ 5.82B 5.54M Shares | $ 5.82B 5.54M Shares | $-441M -420K Shares | |
PDD
|
$ 923M 6.84M Shares | $ 6.91B 51.2M Shares | $ 7.83B 58.1M Shares | $ 0 0 Shares | $ 5.69B 42.2M Shares | $ 5.69B 42.2M Shares | $2.14B 15.9M Shares | |
ANET
|
$ 2.35B 6.12M Shares | $ 3.92B 10.2M Shares | $ 6.27B 16.3M Shares | $ 0 0 Shares | $ 5.61B 14.6M Shares | $ 5.61B 14.6M Shares | $661M 1.72M Shares | |
TMUS
|
$ 538M 2.61M Shares | $ 3.38B 16.4M Shares | $ 3.91B 19M Shares | $ 423K 2.05K Shares | $ 5.58B 27M Shares | $ 5.58B 27M Shares | $-1.66B -8.05M Shares | |
PYPL
|
$ 2.02B 25.9M Shares | $ 4.46B 57.2M Shares | $ 6.48B 83.1M Shares | $ 72K 933 Shares | $ 5.56B 71.3M Shares | $ 5.56B 71.3M Shares | $921M 11.8M Shares | |
ELV
|
$ 749M 1.44M Shares | $ 4.82B 9.27M Shares | $ 5.57B 10.7M Shares | $ 0 0 Shares | $ 5.55B 10.7M Shares | $ 5.55B 10.7M Shares | $21.8M 41.9K Shares | |
CMG
|
$ 1.18B 20.4M Shares | $ 4.02B 69.8M Shares | $ 5.2B 90.2M Shares | $ 0 0 Shares | $ 5.52B 95.8M Shares | $ 5.52B 95.8M Shares | $-320M -5.56M Shares | |
MCK
|
$ 564M 1.14M Shares | $ 4.56B 9.22M Shares | $ 5.12B 10.4M Shares | $ 229K 465 Shares | $ 5.51B 11.2M Shares | $ 5.52B 11.2M Shares | $-394M -797K Shares | |
SHOP
|
$ 627M 7.83M Shares | $ 5.1B 63.7M Shares | $ 5.73B 71.5M Shares | $ 1.3M 16.2K Shares | $ 5.51B 68.7M Shares | $ 5.51B 68.7M Shares | $225M 2.8M Shares | |
PEP
|
$ 536M 3.15M Shares | $ 6.78B 39.8M Shares | $ 7.31B 43M Shares | $ 0 0 Shares | $ 5.47B 32.2M Shares | $ 5.47B 32.2M Shares | $1.84B 10.8M Shares | |
DHI
|
$ 2.37B 12.4M Shares | $ 3.28B 17.2M Shares | $ 5.65B 29.6M Shares | $ 0 0 Shares | $ 5.44B 28.5M Shares | $ 5.44B 28.5M Shares | $209M 1.1M Shares | |
PANW
|
$ 601M 1.76M Shares | $ 5.56B 16.3M Shares | $ 6.16B 18M Shares | $ 0 0 Shares | $ 5.44B 15.9M Shares | $ 5.44B 15.9M Shares | $722M 2.11M Shares | |
LRCX
|
$ 2.12B 2.6M Shares | $ 3.97B 4.87M Shares | $ 6.09B 7.47M Shares | $ 38.5M 47.2K Shares | $ 5.33B 6.54M Shares | $ 5.37B 6.58M Shares | $722M 885K Shares | |
CRWD
|
$ 1.2B 4.27M Shares | $ 4.58B 16.3M Shares | $ 5.78B 20.6M Shares | $ 8.38M 29.9K Shares | $ 5.33B 19M Shares | $ 5.34B 19M Shares | $438M 1.56M Shares | |
AMT
|
$ 508M 2.19M Shares | $ 4.36B 18.7M Shares | $ 4.86B 20.9M Shares | $ 0 0 Shares | $ 5.32B 22.9M Shares | $ 5.32B 22.9M Shares | $-458M -1.97M Shares | |
NEE
|
$ 395M 4.67M Shares | $ 4.62B 54.7M Shares | $ 5.02B 59.3M Shares | $ 11.9M 140K Shares | $ 5.28B 62.5M Shares | $ 5.29B 62.6M Shares | $-277M -3.28M Shares | |
APD
|
$ 703M 2.36M Shares | $ 4.92B 16.5M Shares | $ 5.62B 18.9M Shares | $ 5.97M 20K Shares | $ 5.24B 17.6M Shares | $ 5.24B 17.6M Shares | $377M 1.27M Shares | |
MCD
|
$ 581M 1.91M Shares | $ 11.4B 37.4M Shares | $ 12B 39.3M Shares | $ 517K 1.7K Shares | $ 5.24B 17.2M Shares | $ 5.24B 17.2M Shares | $6.74B 22.1M Shares | |
ADP
|
$ 582M 2.1M Shares | $ 3.93B 14.2M Shares | $ 4.51B 16.3M Shares | $ 363K 1.31K Shares | $ 5.16B 18.7M Shares | $ 5.17B 18.7M Shares | $-656M -2.37M Shares | |
MCO
|
$ 398M 839K Shares | $ 2.99B 6.31M Shares | $ 3.39B 7.15M Shares | $ 0 0 Shares | $ 5.16B 10.9M Shares | $ 5.16B 10.9M Shares | $-1.76B -3.72M Shares | |
SPOT
|
$ 1.33B 3.6M Shares | $ 5.1B 13.8M Shares | $ 6.43B 17.4M Shares | $ 15M 40.7K Shares | $ 5.13B 13.9M Shares | $ 5.14B 14M Shares | $1.29B 3.49M Shares | |
CEG
|
$ 1.43B 5.51M Shares | $ 5.86B 22.5M Shares | $ 7.29B 28M Shares | $ 0 0 Shares | $ 5.09B 19.6M Shares | $ 5.09B 19.6M Shares | $2.2B 8.45M Shares | |
DE
|
$ 480M 1.15M Shares | $ 4.7B 11.3M Shares | $ 5.18B 12.4M Shares | $ 1.25M 3K Shares | $ 5.09B 12.2M Shares | $ 5.09B 12.2M Shares | $88.3M 211K Shares | |
UNP
|
$ 377M 1.53M Shares | $ 4.68B 19M Shares | $ 5.05B 20.5M Shares | $ 12K 50 Shares | $ 5.08B 20.6M Shares | $ 5.08B 20.6M Shares | $-29.8M -121K Shares |