Top Companies Added as New Holdings by Institutions in Q1 2024
Ticker | Buy | Sell | Net Activity | |||||
---|---|---|---|---|---|---|---|---|
New Holding | Increment | Total | Sold Out | Reduction | Total | |||
AME
|
$ 2.71B 14.8M Shares | $ 1.45B 7.94M Shares | $ 4.16B 22.8M Shares | $ 0 0 Shares | $ 1.95B 10.7M Shares | $ 1.95B 10.7M Shares | $2.21B 12.1M Shares | |
REGN
|
$ 2.66B 2.76M Shares | $ 4.47B 4.64M Shares | $ 7.12B 7.4M Shares | $ 1.38M 1.43K Shares | $ 2.78B 2.89M Shares | $ 2.78B 2.89M Shares | $4.34B 4.51M Shares | |
CNC
|
$ 2.62B 33.4M Shares | $ 2.41B 30.7M Shares | $ 5.03B 64.1M Shares | $ 1.22M 15.6K Shares | $ 1.91B 24.4M Shares | $ 1.92B 24.4M Shares | $3.11B 39.7M Shares | |
PLD
|
$ 2.62B 20.1M Shares | $ 8.73B 67.1M Shares | $ 11.4B 87.2M Shares | $ 5.23M 40.2K Shares | $ 9.76B 74.9M Shares | $ 9.76B 75M Shares | $1.59B 12.2M Shares | |
KO
|
$ 2.62B 42.8M Shares | $ 7.44B 122M Shares | $ 10.1B 164M Shares | $ 11.2M 182K Shares | $ 5.63B 92.1M Shares | $ 5.64B 92.3M Shares | $4.41B 72.2M Shares | |
DLTR
|
$ 2.6B 19.5M Shares | $ 1.48B 11.1M Shares | $ 4.08B 30.6M Shares | $ 0 4 Shares | $ 2.18B 16.4M Shares | $ 2.18B 16.4M Shares | $1.89B 14.2M Shares | |
DAL
|
$ 2.58B 53.8M Shares | $ 1.13B 23.7M Shares | $ 3.71B 77.5M Shares | $ 220K 4.61K Shares | $ 1.1B 23.1M Shares | $ 1.1B 23.1M Shares | $2.61B 54.4M Shares | |
BRK-A
|
$ 2.57B 4.04K Shares | $ 8.35B 13.2K Shares | $ 10.9B 17.2K Shares | $ 0 0 Shares | $ 2.2B 3.46K Shares | $ 2.2B 3.46K Shares | $8.72B 13.7K Shares | |
CVX
|
$ 2.56B 16.2M Shares | $ 7.07B 44.8M Shares | $ 9.63B 61.1M Shares | $ 0 0 Shares | $ 6.44B 40.8M Shares | $ 6.44B 40.8M Shares | $3.19B 20.2M Shares | |
BDX
|
$ 2.54B 10.3M Shares | $ 3.44B 13.9M Shares | $ 5.97B 24.1M Shares | $ 492K 1.99K Shares | $ 3.81B 15.4M Shares | $ 3.81B 15.4M Shares | $2.16B 8.73M Shares | |
BAC
|
$ 2.54B 66.9M Shares | $ 8.12B 214M Shares | $ 10.7B 281M Shares | $ 2.33M 61.5K Shares | $ 5.77B 152M Shares | $ 5.77B 152M Shares | $4.89B 129M Shares | |
FANG
|
$ 2.45B 12.3M Shares | $ 2.06B 10.4M Shares | $ 4.5B 22.7M Shares | $ 1.69M 8.54K Shares | $ 1.64B 8.26M Shares | $ 1.64B 8.26M Shares | $2.86B 14.4M Shares | |
IEMG
|
$ 2.43B 47.1M Shares | $ 3.38B 65.4M Shares | $ 5.81B 113M Shares | $ 322K 6.25K Shares | $ 5.04B 97.7M Shares | $ 5.04B 97.7M Shares | $767M 14.9M Shares | |
EMR
|
$ 2.37B 20.9M Shares | $ 2.79B 24.6M Shares | $ 5.16B 45.5M Shares | $ 1.55M 13.7K Shares | $ 2.41B 21.3M Shares | $ 2.41B 21.3M Shares | $2.75B 24.2M Shares | |
SYY
|
$ 2.36B 29.1M Shares | $ 1.69B 20.8M Shares | $ 4.05B 49.9M Shares | $ 444K 5.47K Shares | $ 2.55B 31.4M Shares | $ 2.55B 31.4M Shares | $1.5B 18.5M Shares | |
PNC
|
$ 2.36B 14.6M Shares | $ 2.17B 13.4M Shares | $ 4.54B 28.1M Shares | $ 766K 4.75K Shares | $ 1.53B 9.47M Shares | $ 1.53B 9.47M Shares | $3B 18.6M Shares | |
ANET
|
$ 2.33B 8.03M Shares | $ 2.51B 8.64M Shares | $ 4.83B 16.7M Shares | $ 44M 152K Shares | $ 4.28B 14.8M Shares | $ 4.33B 14.9M Shares | $508M 1.75M Shares | |
ECL
|
$ 2.33B 10.1M Shares | $ 2.15B 9.29M Shares | $ 4.47B 19.4M Shares | $ 655K 2.84K Shares | $ 2.24B 9.71M Shares | $ 2.24B 9.71M Shares | $2.23B 9.66M Shares | |
CEG
|
$ 2.32B 12.5M Shares | $ 2B 10.8M Shares | $ 4.32B 23.4M Shares | $ 227K 1.23K Shares | $ 2.56B 13.8M Shares | $ 2.56B 13.8M Shares | $1.76B 9.55M Shares | |
DELL
|
$ 2.3B 20.2M Shares | $ 3.31B 29M Shares | $ 5.62B 49.2M Shares | $ 1.08M 9.43K Shares | $ 3.61B 31.7M Shares | $ 3.61B 31.7M Shares | $2B 17.6M Shares | |
USIG
|
$ 2.3B 45.4M Shares | $ 791M 15.6M Shares | $ 3.09B 60.9M Shares | $ 5K 102 Shares | $ 306M 6.03M Shares | $ 306M 6.03M Shares | $2.79B 54.9M Shares | |
GILD
|
$ 2.28B 31.1M Shares | $ 3.51B 48M Shares | $ 5.79B 79.1M Shares | $ 1.51M 20.6K Shares | $ 3.97B 54.2M Shares | $ 3.97B 54.2M Shares | $1.82B 24.8M Shares | |
AIG
|
$ 2.27B 29.1M Shares | $ 2.02B 25.9M Shares | $ 4.3B 55M Shares | $ 0 0 Shares | $ 2.53B 32.4M Shares | $ 2.53B 32.4M Shares | $1.76B 22.5M Shares | |
ADP
|
$ 2.26B 9.06M Shares | $ 3.55B 14.2M Shares | $ 5.81B 23.3M Shares | $ 1.28M 5.11K Shares | $ 4.04B 16.2M Shares | $ 4.05B 16.2M Shares | $1.76B 7.06M Shares | |
WELL
|
$ 2.25B 24.1M Shares | $ 3.06B 32.7M Shares | $ 5.31B 56.9M Shares | $ 1.9M 20.4K Shares | $ 943M 10.1M Shares | $ 945M 10.1M Shares | $4.37B 46.7M Shares | |
AMAT
|
$ 2.23B 10.8M Shares | $ 6.55B 31.8M Shares | $ 8.79B 42.6M Shares | $ 1.9M 9.22K Shares | $ 12.1B 58.6M Shares | $ 12.1B 58.6M Shares | $-3.3B -16M Shares | |
EQIX
|
$ 2.22B 2.69M Shares | $ 3.31B 4.01M Shares | $ 5.53B 6.7M Shares | $ 3.05M 3.69K Shares | $ 3.62B 4.38M Shares | $ 3.62B 4.39M Shares | $1.91B 2.31M Shares | |
CPRT
|
$ 2.21B 38.2M Shares | $ 1.86B 32.1M Shares | $ 4.08B 70.4M Shares | $ 316K 5.47K Shares | $ 1.85B 31.9M Shares | $ 1.85B 32M Shares | $2.22B 38.4M Shares | |
VST
|
$ 2.21B 31.7M Shares | $ 1.71B 24.6M Shares | $ 3.92B 56.3M Shares | $ 0 0 Shares | $ 2.52B 36.2M Shares | $ 2.52B 36.2M Shares | $1.4B 20.1M Shares | |
ORCL
|
$ 2.2B 17.5M Shares | $ 9.35B 74.5M Shares | $ 11.5B 91.9M Shares | $ 1.68M 13.3K Shares | $ 6.7B 53.4M Shares | $ 6.7B 53.4M Shares | $4.84B 38.6M Shares | |
ADI
|
$ 2.15B 10.9M Shares | $ 4.36B 22M Shares | $ 6.51B 32.9M Shares | $ 1.81M 9.16K Shares | $ 3.76B 19M Shares | $ 3.76B 19M Shares | $2.75B 13.9M Shares | |
ISRG
|
$ 2.15B 5.39M Shares | $ 5.03B 12.6M Shares | $ 7.18B 18M Shares | $ 1.2M 3.01K Shares | $ 4.7B 11.8M Shares | $ 4.71B 11.8M Shares | $2.47B 6.2M Shares | |
MET
|
$ 2.14B 28.8M Shares | $ 1.5B 20.3M Shares | $ 3.64B 49.1M Shares | $ 2.81M 37.9K Shares | $ 1.9B 25.7M Shares | $ 1.9B 25.7M Shares | $1.74B 23.5M Shares | |
ABBV
|
$ 2.11B 11.6M Shares | $ 9.24B 50.7M Shares | $ 11.4B 62.4M Shares | $ 838K 4.6K Shares | $ 7.26B 39.9M Shares | $ 7.26B 39.9M Shares | $4.09B 22.5M Shares | |
RIO
|
$ 2.11B 33.1M Shares | $ 514M 8.06M Shares | $ 2.62B 41.1M Shares | $ 19K 301 Shares | $ 553M 8.67M Shares | $ 553M 8.67M Shares | $2.07B 32.5M Shares | |
FCX
|
$ 2.09B 44.4M Shares | $ 4.46B 94.9M Shares | $ 6.55B 139M Shares | $ 0 0 Shares | $ 1.99B 42.4M Shares | $ 1.99B 42.4M Shares | $4.56B 96.9M Shares | |
NEE
|
$ 2.06B 32.3M Shares | $ 5.35B 83.8M Shares | $ 7.42B 116M Shares | $ 845K 13.2K Shares | $ 4.32B 67.7M Shares | $ 4.32B 67.7M Shares | $3.09B 48.4M Shares | |
KDP
|
$ 2.06B 67.1M Shares | $ 2.79B 91M Shares | $ 4.85B 158M Shares | $ 0 0 Shares | $ 1.64B 53.4M Shares | $ 1.64B 53.4M Shares | $3.21B 105M Shares | |
MTB
|
$ 2.04B 14.1M Shares | $ 1.05B 7.2M Shares | $ 3.09B 21.3M Shares | $ 309K 2.13K Shares | $ 1.14B 7.85M Shares | $ 1.14B 7.86M Shares | $1.95B 13.4M Shares | |
APP
|
$ 2.04B 29.5M Shares | $ 1.43B 20.7M Shares | $ 3.47B 50.2M Shares | $ 330K 4.77K Shares | $ 1.24B 17.9M Shares | $ 1.24B 17.9M Shares | $2.23B 32.3M Shares | |
TRGP
|
$ 2.04B 18.2M Shares | $ 724M 6.47M Shares | $ 2.76B 24.7M Shares | $ 0 0 Shares | $ 1.48B 13.2M Shares | $ 1.48B 13.2M Shares | $1.29B 11.5M Shares | |
TSLA
|
$ 2.04B 11.6M Shares | $ 12.7B 72.3M Shares | $ 14.7B 83.8M Shares | $ 2.45M 13.9K Shares | $ 8.65B 49.2M Shares | $ 8.65B 49.2M Shares | $6.09B 34.6M Shares | |
AER
|
$ 2.04B 23.4M Shares | $ 1.03B 11.9M Shares | $ 3.07B 35.3M Shares | $ 108K 1.25K Shares | $ 1.7B 19.6M Shares | $ 1.7B 19.6M Shares | $1.37B 15.7M Shares | |
BA
|
$ 1.95B 10.1M Shares | $ 5.56B 28.8M Shares | $ 7.51B 38.9M Shares | $ 833K 4.32K Shares | $ 6.58B 34.1M Shares | $ 6.58B 34.1M Shares | $936M 4.85M Shares | |
UL
|
$ 1.95B 38.8M Shares | $ 960M 19.1M Shares | $ 2.91B 57.9M Shares | $ 531K 10.6K Shares | $ 716M 14.3M Shares | $ 717M 14.3M Shares | $2.19B 43.7M Shares | |
MRVL
|
$ 1.95B 27.5M Shares | $ 4.03B 56.9M Shares | $ 5.98B 84.3M Shares | $ 604K 8.53K Shares | $ 5.29B 74.6M Shares | $ 5.29B 74.7M Shares | $687M 9.69M Shares | |
DKNG
|
$ 1.94B 42.8M Shares | $ 1.53B 33.8M Shares | $ 3.48B 76.6M Shares | $ 0 0 Shares | $ 1.83B 40.3M Shares | $ 1.83B 40.3M Shares | $1.65B 36.3M Shares | |
DFS
|
$ 1.92B 14.6M Shares | $ 1.67B 12.8M Shares | $ 3.59B 27.4M Shares | $ 1.93M 14.7K Shares | $ 3.73B 28.5M Shares | $ 3.73B 28.5M Shares | $-142M -1.08M Shares | |
CCI
|
$ 1.88B 17.8M Shares | $ 2.36B 22.3M Shares | $ 4.24B 40.1M Shares | $ 549K 5.19K Shares | $ 1.95B 18.5M Shares | $ 1.95B 18.5M Shares | $2.29B 21.6M Shares | |
MCK
|
$ 1.88B 3.5M Shares | $ 3.12B 5.81M Shares | $ 5B 9.31M Shares | $ 3.63M 6.76K Shares | $ 14.9B 27.8M Shares | $ 14.9B 27.8M Shares | $-9.93B -18.5M Shares |