Top Companies Added as New Holdings by Institutions in Q1 2020
Ticker | Buy | Sell | Net Activity | |||||
---|---|---|---|---|---|---|---|---|
New Holding | Increment | Total | Sold Out | Reduction | Total | |||
AJG
|
$ 0 0 Shares | $ 9.54M 117K Shares | $ 9.54M 117K Shares | $ 313M 3.84M Shares | $ 300K 3.68K Shares | $ 314M 3.85M Shares | $-304M -3.73M Shares | |
IMO
|
— | $ 18.8M 1.67M Shares | $ 0 0 Shares | $ 18.8M 1.67M Shares | $-18.8M -1.67M Shares | |||
DELL
|
$ 0 41 Shares | $ 67K 3.39K Shares | $ 68K 3.43K Shares | $ 27.1M 1.35M Shares | $ 2K 142 Shares | $ 27.1M 1.35M Shares | $-27.1M -1.35M Shares | |
HES
|
— | $ 37.2M 1.12M Shares | $ 0 0 Shares | $ 37.2M 1.12M Shares | $-37.2M -1.12M Shares | |||
BAESY
|
— | $ 1.65M 64.4K Shares | $ 0 0 Shares | $ 1.65M 64.4K Shares | $-1.65M -64.4K Shares | |||
CHT
|
— | $ 558K 15.7K Shares | $ 34K 961 Shares | $ 592K 16.7K Shares | $-592K -16.7K Shares | |||
WEC
|
$ 0 0 Shares | $ 88K 1K Shares | $ 88K 1K Shares | $ 33.2M 377K Shares | $ 314K 3.57K Shares | $ 33.5M 381K Shares | $-33.5M -380K Shares | |
ET
|
$ 0 0 Shares | $ 13K 3.02K Shares | $ 13K 3.02K Shares | $ 56.9M 12.4M Shares | $ 4K 1K Shares | $ 56.9M 12.4M Shares | $-56.9M -12.4M Shares | |
DDOG
|
— | $ 74.6M 2.07M Shares | $ 1.17M 32.4K Shares | $ 75.8M 2.11M Shares | $-75.8M -2.11M Shares | |||
BBD
|
$ 0 0 Shares | $ 10K 2.7K Shares | $ 10K 2.7K Shares | $ 26.1M 6.42M Shares | $ 0 0 Shares | $ 26.1M 6.42M Shares | $-26.1M -6.42M Shares | |
CARR
|
$ 0 13 Shares | $ 0 0 Shares | $ 0 13 Shares | — | $0 13 Shares | |||
TSN
|
$ 0 4 Shares | $ 0 0 Shares | $ 0 4 Shares | $ 275M 4.76M Shares | $ 2K 36 Shares | $ 275M 4.76M Shares | $-275M -4.76M Shares | |
IFNNY
|
— | $ 244K 16.8K Shares | $ 0 18 Shares | $ 244K 16.9K Shares | $-244K -16.9K Shares | |||
TWTR
|
$ 0 30 Shares | $ 0 0 Shares | $ 0 30 Shares | $ 56.8M 2.31M Shares | $ 7K 309 Shares | $ 56.8M 2.31M Shares | $-56.8M -2.31M Shares | |
IFF
|
— | $ 149M 1.46M Shares | $ 1K 16 Shares | $ 149M 1.46M Shares | $-149M -1.46M Shares | |||
NUE
|
— | $ 17.2M 479K Shares | $ 7K 200 Shares | $ 17.3M 479K Shares | $-17.3M -479K Shares | |||
ES
|
$ 0 0 Shares | $ 120K 1.55K Shares | $ 120K 1.55K Shares | $ 416M 5.32M Shares | $ 21K 274 Shares | $ 416M 5.32M Shares | $-416M -5.32M Shares | |
ILMN
|
$ 0 0 Shares | $ 1.29M 4.73K Shares | $ 1.29M 4.73K Shares | $ 268M 982K Shares | $ 10K 37 Shares | $ 268M 982K Shares | $-267M -977K Shares | |
BBVA
|
— | $ 1.51M 492K Shares | $ 0 0 Shares | $ 1.51M 492K Shares | $-1.51M -492K Shares | |||
TEF
|
— | $ 6.55M 1.43M Shares | $ 6K 1.39K Shares | $ 6.56M 1.43M Shares | $-6.56M -1.43M Shares | |||
WIT
|
$ 0 0 Shares | $ 12K 3.93K Shares | $ 12K 3.93K Shares | $ 5.62M 1.81M Shares | $ 0 0 Shares | $ 5.62M 1.81M Shares | $-5.61M -1.81M Shares | |
PCAR
|
$ 0 0 Shares | $ 19K 323 Shares | $ 19K 323 Shares | $ 25.8M 421K Shares | $ 68K 1.12K Shares | $ 25.8M 422K Shares | $-25.8M -422K Shares | |
EQR
|
— | $ 37.3M 604K Shares | $ 0 0 Shares | $ 37.3M 604K Shares | $-37.3M -604K Shares | |||
GLW
|
$ 0 0 Shares | $ 5K 283 Shares | $ 5K 283 Shares | $ 61.7M 3M Shares | $ 0 0 Shares | $ 61.7M 3M Shares | $-61.7M -3M Shares | |
FRC
|
$ 0 9 Shares | $ 1K 14 Shares | $ 1K 23 Shares | $ 42.4M 516K Shares | $ 0 0 Shares | $ 42.4M 516K Shares | $-42.4M -515K Shares | |
NDAQ
|
— | $ 47M 495K Shares | $ 94K 1K Shares | $ 47.1M 496K Shares | $-47.1M -496K Shares | |||
CKHUY
|
— | $ 38K 5.69K Shares | $ 0 0 Shares | $ 38K 5.69K Shares | $-38K -5.69K Shares | |||
BKR
|
$ 0 0 Shares | $ 1.82M 173K Shares | $ 1.82M 173K Shares | $ 29.4M 2.8M Shares | $ 10K 1K Shares | $ 29.4M 2.8M Shares | $-27.5M -2.62M Shares | |
ERIC
|
$ 0 87 Shares | $ 0 0 Shares | $ 0 87 Shares | $ 25.6M 3.17M Shares | $ 0 0 Shares | $ 25.6M 3.17M Shares | $-25.6M -3.17M Shares | |
DTE
|
$ 0 1 Shares | $ 851K 10.5K Shares | $ 851K 10.5K Shares | $ 54.8M 678K Shares | $ 10K 130 Shares | $ 54.8M 678K Shares | $-54M -668K Shares | |
KEYS
|
$ 0 0 Shares | $ 16K 200 Shares | $ 16K 200 Shares | $ 94.9M 1.13M Shares | $ 2.72M 32.5K Shares | $ 97.6M 1.17M Shares | $-97.6M -1.17M Shares | |
FMX
|
— | $ 95.1M 1.57M Shares | $ 0 0 Shares | $ 95.1M 1.57M Shares | $-95.1M -1.57M Shares | |||
K
|
— | $ 49M 816K Shares | $ 0 0 Shares | $ 49M 816K Shares | $-49M -816K Shares | |||
CSGP
|
— | $ 4.19M 71.4K Shares | $ 0 0 Shares | $ 4.19M 71.4K Shares | $-4.19M -71.4K Shares | |||
SQM
|
— | $ 19.3M 855K Shares | $ 1K 46 Shares | $ 19.3M 855K Shares | $-19.3M -855K Shares | |||
CAJ
|
$ 0 37 Shares | $ 0 0 Shares | $ 0 37 Shares | $ 2.43M 112K Shares | $ 0 0 Shares | $ 2.43M 112K Shares | $-2.43M -112K Shares | |
CLR
|
— | $ 28.9M 3.78M Shares | $ 0 0 Shares | $ 28.9M 3.78M Shares | $-28.9M -3.78M Shares | |||
PPERY
|
— | $ 94K 17.1K Shares | $ 0 0 Shares | $ 94K 17.1K Shares | $-94K -17.1K Shares | |||
STT
|
$ 0 0 Shares | $ 6.11M 115K Shares | $ 6.11M 115K Shares | $ 249M 4.67M Shares | $ 234K 4.4K Shares | $ 249M 4.68M Shares | $-243M -4.56M Shares | |
PCG
|
$ 0 0 Shares | $ 0 11 Shares | $ 0 11 Shares | $ 71.4M 7.95M Shares | $ 4K 489 Shares | $ 71.4M 7.95M Shares | $-71.4M -7.95M Shares | |
WST
|
— | $ 1.36M 8.95K Shares | $ 7K 46 Shares | $ 1.37M 9K Shares | $-1.37M -9K Shares | |||
EFX
|
$ 0 0 Shares | $ 1.65M 13.8K Shares | $ 1.65M 13.8K Shares | $ 62.9M 527K Shares | $ 0 0 Shares | $ 62.9M 527K Shares | $-61.3M -513K Shares | |
LEN
|
— | $ 126M 3.29M Shares | $ 0 0 Shares | $ 126M 3.29M Shares | $-126M -3.29M Shares | |||
CODYY
|
— | $ 103K 21.8K Shares | $ 0 0 Shares | $ 103K 21.8K Shares | $-103K -21.8K Shares | |||
MKC
|
— | $ 14.9M 211K Shares | $ 156K 2.21K Shares | $ 15.1M 213K Shares | $-15.1M -213K Shares | |||
VWDRY
|
— | $ 54K 10K Shares | $ 0 0 Shares | $ 54K 10K Shares | $-54K -10K Shares | |||
FANG
|
— | $ 26.1M 995K Shares | $ 400K 15.3K Shares | $ 26.5M 1.01M Shares | $-26.5M -1.01M Shares | |||
ZS
|
— | $ 8.57M 141K Shares | $ 0 0 Shares | $ 8.57M 141K Shares | $-8.57M -141K Shares | |||
CTRA
|
$ 0 54 Shares | $ 0 0 Shares | $ 0 54 Shares | $ 78.9M 4.59M Shares | $ 17.4M 1.01M Shares | $ 96.3M 5.6M Shares | $-96.3M -5.6M Shares | |
CQP
|
— | $ 13M 480K Shares | $ 0 0 Shares | $ 13M 480K Shares | $-13M -480K Shares |