Top Companies Added as New Holdings by Institutions in Q1 2022
Ticker | Buy | Sell | Net Activity | |||||
---|---|---|---|---|---|---|---|---|
New Holding | Increment | Total | Sold Out | Reduction | Total | |||
SMTC
|
$ 341K 4.93K Shares | $ 2.94M 42.4K Shares | $ 3.28M 47.4K Shares | $ 0 0 Shares | $ 8.51M 123K Shares | $ 8.51M 123K Shares | $-5.22M -75.3K Shares | |
MORF
|
$ 341K 8.5K Shares | $ 15.6M 388K Shares | $ 15.9M 397K Shares | $ 10.5M 261K Shares | $ 236K 5.89K Shares | $ 10.7M 267K Shares | $5.21M 130K Shares | |
PXH
|
$ 341K 16.4K Shares | $ 25K 1.21K Shares | $ 366K 17.6K Shares | $ 467K 22.4K Shares | $ 921K 44.3K Shares | $ 1.39M 66.7K Shares | $-1.02M -49.1K Shares | |
VVNT
|
$ 340K 50.4K Shares | $ 296K 43.9K Shares | $ 637K 94.3K Shares | $ 4.89M 723K Shares | $ 1.23M 183K Shares | $ 6.12M 905K Shares | $-5.48M -811K Shares | |
SRDX
|
$ 340K 7.51K Shares | $ 641K 14.1K Shares | $ 981K 21.6K Shares | $ 3.4M 75K Shares | $ 1.23M 27.1K Shares | $ 4.63M 102K Shares | $-3.65M -80.4K Shares | |
KNOP
|
$ 339K 20.1K Shares | $ 1K 100 Shares | $ 341K 20.2K Shares | $ 1.45M 85.5K Shares | $ 2.96M 175K Shares | $ 4.41M 261K Shares | $-4.07M -240K Shares | |
OFLX
|
$ 339K 2.62K Shares | $ 0 0 Shares | $ 339K 2.62K Shares | $ 436K 3.36K Shares | $ 263K 2.03K Shares | $ 699K 5.39K Shares | $-360K -2.78K Shares | |
UMH
|
$ 339K 13.8K Shares | $ 898K 36.5K Shares | $ 1.24M 50.3K Shares | $ 20.1M 818K Shares | $ 264K 10.8K Shares | $ 20.4M 829K Shares | $-19.1M -778K Shares | |
ARAY
|
$ 339K 103K Shares | $ 195K 59K Shares | $ 535K 162K Shares | $ 3.33M 1.01M Shares | $ 196K 59.3K Shares | $ 3.53M 1.07M Shares | $-3M -905K Shares | |
DSAC
|
$ 338K 34.1K Shares | $ 1.65M 166K Shares | $ 1.98M 200K Shares | $ 6.73M 678K Shares | $ 26K 2.64K Shares | $ 6.76M 680K Shares | $-4.77M -481K Shares | |
OMFL
|
$ 338K 7.1K Shares | $ 4K 100 Shares | $ 342K 7.2K Shares | $ 4.96M 104K Shares | $ 1M 21K Shares | $ 5.96M 125K Shares | $-5.62M -118K Shares | |
GAIN
|
$ 337K 21K Shares | $ 0 0 Shares | $ 337K 21K Shares | $ 670K 41.6K Shares | $ 58K 3.65K Shares | $ 729K 45.2K Shares | $-392K -24.3K Shares | |
GGAAU
|
$ 337K 33.8K Shares | $ 0 0 Shares | $ 337K 33.8K Shares | $ 148M 14.8M Shares | $ 173K 17.3K Shares | $ 148M 14.8M Shares | $-148M -14.8M Shares | |
AVIV
|
$ 337K 6.73K Shares | $ 0 0 Shares | $ 337K 6.73K Shares | — | $337K 6.73K Shares | |||
CGDV
|
$ 337K 13.1K Shares | $ 0 0 Shares | $ 337K 13.1K Shares | $ 0 0 Shares | $ 593K 22.9K Shares | $ 593K 22.9K Shares | $-256K -9.88K Shares | |
NWPX
|
$ 337K 13.3K Shares | $ 261K 10.3K Shares | $ 598K 23.5K Shares | $ 877K 34.5K Shares | $ 123K 4.85K Shares | $ 1M 39.3K Shares | $-402K -15.8K Shares | |
CURO
|
$ 337K 25.8K Shares | $ 81K 6.26K Shares | $ 418K 32.1K Shares | $ 9.67M 741K Shares | $ 112K 8.64K Shares | $ 9.78M 749K Shares | $-9.36M -717K Shares | |
IBMQ
|
$ 336K 13.2K Shares | $ 74K 2.94K Shares | $ 410K 16.1K Shares | $ 150K 5.9K Shares | $ 0 0 Shares | $ 150K 5.9K Shares | $260K 10.2K Shares | |
QNST
|
$ 335K 28.9K Shares | $ 5.97M 515K Shares | $ 6.31M 544K Shares | $ 7.11M 613K Shares | $ 338K 29.2K Shares | $ 7.45M 642K Shares | $-1.14M -98.5K Shares | |
ABCL
|
$ 335K 34.4K Shares | $ 34K 3.5K Shares | $ 369K 37.9K Shares | $ 34.2M 3.51M Shares | $ 6.76M 694K Shares | $ 41M 4.21M Shares | $-40.6M -4.17M Shares | |
MCY
|
$ 335K 6.11K Shares | $ 471K 8.56K Shares | $ 806K 14.7K Shares | $ 53M 964K Shares | $ 1.55M 28.1K Shares | $ 54.6M 992K Shares | $-53.8M -978K Shares | |
CIM
|
$ 335K 27.9K Shares | $ 7M 582K Shares | $ 7.34M 610K Shares | $ 39.2M 3.26M Shares | $ 472K 39.3K Shares | $ 39.7M 3.3M Shares | $-32.3M -2.69M Shares | |
ATER
|
$ 335K 138K Shares | $ 582K 240K Shares | $ 917K 378K Shares | $ 1.5M 616K Shares | $ 483K 199K Shares | $ 1.98M 815K Shares | $-1.06M -437K Shares | |
HOFT
|
$ 335K 17.7K Shares | $ 312K 16.5K Shares | $ 648K 34.2K Shares | $ 2.77M 146K Shares | $ 54K 2.86K Shares | $ 2.82M 149K Shares | $-2.17M -115K Shares | |
ACM
|
$ 335K 4.37K Shares | $ 18.7M 243K Shares | $ 19M 248K Shares | $ 139M 1.8M Shares | $ 80.9M 1.05M Shares | $ 219M 2.86M Shares | $-200M -2.61M Shares | |
ATLC
|
$ 335K 6.47K Shares | $ 57K 1.11K Shares | $ 392K 7.58K Shares | $ 0 0 Shares | $ 57K 1.11K Shares | $ 57K 1.11K Shares | $335K 6.47K Shares | |
DENN
|
$ 334K 23.4K Shares | $ 168K 11.8K Shares | $ 502K 35.1K Shares | $ 6.95M 486K Shares | $ 529K 37K Shares | $ 7.48M 523K Shares | $-6.98M -488K Shares | |
PFI
|
$ 333K 6.8K Shares | $ 0 1 Shares | $ 333K 6.8K Shares | $ 4.03M 82.1K Shares | $ 38K 784 Shares | $ 4.07M 82.9K Shares | $-3.74M -76.1K Shares | |
ETJ
|
$ 333K 33.8K Shares | $ 48K 4.92K Shares | $ 382K 38.7K Shares | $ 972K 98.5K Shares | $ 291K 29.5K Shares | $ 1.26M 128K Shares | $-881K -89.2K Shares | |
MOMO
|
$ 333K 57.8K Shares | $ 3.34M 577K Shares | $ 3.67M 635K Shares | $ 37.5M 6.49M Shares | $ 10M 1.74M Shares | $ 47.5M 8.22M Shares | $-43.9M -7.59M Shares | |
EYPT
|
$ 333K 27.4K Shares | $ 111K 9.16K Shares | $ 444K 36.6K Shares | $ 15.4M 1.27M Shares | $ 111K 9.2K Shares | $ 15.5M 1.27M Shares | $-15M -1.24M Shares | |
RELL
|
$ 333K 26.8K Shares | $ 185K 14.9K Shares | $ 518K 41.7K Shares | $ 211K 17K Shares | $ 302K 24.3K Shares | $ 514K 41.3K Shares | $4K 363 Shares | |
BNFT
|
$ 332K 26.3K Shares | $ 19M 1.5M Shares | $ 19.3M 1.53M Shares | $ 2.63M 208K Shares | $ 117K 9.32K Shares | $ 2.75M 218K Shares | $16.6M 1.31M Shares | |
HVT
|
$ 332K 12.1K Shares | $ 302K 11K Shares | $ 634K 23.2K Shares | $ 8.16M 298K Shares | $ 2.34M 85.4K Shares | $ 10.5M 383K Shares | $-9.87M -360K Shares | |
ORTX
|
$ 331K 467K Shares | $ 8K 12.1K Shares | $ 340K 479K Shares | $ 1.71M 2.4M Shares | $ 814K 1.15M Shares | $ 2.52M 3.55M Shares | $-2.18M -3.07M Shares | |
BFK
|
$ 331K 27.2K Shares | $ 23K 1.95K Shares | $ 355K 29.2K Shares | $ 539K 44.3K Shares | $ 83K 6.86K Shares | $ 623K 51.2K Shares | $-268K -22K Shares | |
BKU
|
$ 331K 7.53K Shares | $ 3.8M 86.3K Shares | $ 4.13M 93.9K Shares | $ 99.6M 2.27M Shares | $ 22.9M 521K Shares | $ 123M 2.79M Shares | $-118M -2.69M Shares | |
CIFR
|
$ 331K 91.2K Shares | $ 51K 14.2K Shares | $ 383K 105K Shares | $ 2.97M 815K Shares | $ 207K 57K Shares | $ 3.17M 872K Shares | $-2.79M -766K Shares | |
MRCC
|
$ 331K 30.7K Shares | $ 0 0 Shares | $ 331K 30.7K Shares | $ 2.81M 261K Shares | $ 467K 43.3K Shares | $ 3.28M 304K Shares | $-2.95M -273K Shares | |
SXT
|
$ 330K 3.94K Shares | $ 13.5M 161K Shares | $ 13.9M 165K Shares | $ 46.2M 550K Shares | $ 1.62M 19.3K Shares | $ 47.8M 569K Shares | $-33.9M -404K Shares | |
SASR
|
$ 330K 7.35K Shares | $ 2.2M 49K Shares | $ 2.53M 56.4K Shares | $ 41.7M 928K Shares | $ 4.85M 108K Shares | $ 46.5M 1.04M Shares | $-44M -979K Shares | |
TELA
|
$ 329K 28.4K Shares | $ 1.04M 89.4K Shares | $ 1.37M 118K Shares | $ 5.47M 471K Shares | $ 4.44M 382K Shares | $ 9.92M 853K Shares | $-8.55M -735K Shares | |
WSBC
|
$ 329K 9.6K Shares | $ 3.36M 97.7K Shares | $ 3.69M 107K Shares | $ 38.6M 1.12M Shares | $ 1.74M 50.7K Shares | $ 40.3M 1.17M Shares | $-36.7M -1.07M Shares | |
MBII
|
$ 329K 305K Shares | $ 5K 4.83K Shares | $ 334K 310K Shares | $ 2.31M 2.14M Shares | $ 2K 2.5K Shares | $ 2.31M 2.14M Shares | $-1.98M -1.83M Shares | |
AGTI
|
$ 328K 15.6K Shares | $ 121K 5.75K Shares | $ 450K 21.3K Shares | $ 0 0 Shares | $ 121K 5.75K Shares | $ 121K 5.75K Shares | $329K 15.6K Shares | |
HMCOW
|
$ 328K 1.03M Shares | $ 31K 99.7K Shares | $ 359K 1.12M Shares | $ 236K 738K Shares | $ 48K 151K Shares | $ 284K 888K Shares | $75K 236K Shares | |
PZT
|
$ 328K 13.8K Shares | $ 0 3 Shares | $ 328K 13.8K Shares | $ 2.3M 96.3K Shares | $ 0 0 Shares | $ 2.3M 96.3K Shares | $-1.97M -82.6K Shares | |
SB
|
$ 327K 68.8K Shares | $ 19K 4.17K Shares | $ 347K 73K Shares | $ 1.84M 387K Shares | $ 9K 2K Shares | $ 1.85M 389K Shares | $-1.5M -316K Shares | |
ROL
|
$ 327K 9.36K Shares | $ 5.41M 154K Shares | $ 5.74M 164K Shares | $ 190M 5.42M Shares | $ 20.8M 592K Shares | $ 211M 6.01M Shares | $-205M -5.85M Shares | |
ASEA
|
$ 327K 20.8K Shares | $ 0 0 Shares | $ 327K 20.8K Shares | $ 47K 3K Shares | $ 4K 287 Shares | $ 51K 3.29K Shares | $276K 17.5K Shares |