Top Companies Added as New Holdings by Institutions in Q2 2019
Ticker | Buy | Sell | Net Activity | |||||
---|---|---|---|---|---|---|---|---|
New Holding | Increment | Total | Sold Out | Reduction | Total | |||
KBH
|
$ 12K 500 Shares | $ 1.16M 44.9K Shares | $ 1.17M 45.4K Shares | $ 46.7M 1.82M Shares | $ 26K 1.02K Shares | $ 46.8M 1.82M Shares | $-45.6M -1.77M Shares | |
MCY
|
$ 12K 200 Shares | $ 527K 8.43K Shares | $ 539K 8.63K Shares | $ 69.4M 1.11M Shares | $ 0 0 Shares | $ 69.4M 1.11M Shares | $-68.8M -1.1M Shares | |
SAFE
|
$ 12K 418 Shares | $ 0 0 Shares | $ 12K 418 Shares | $ 392K 13K Shares | $ 0 0 Shares | $ 392K 13K Shares | $-380K -12.6K Shares | |
TTWO
|
$ 12K 110 Shares | $ 1.46M 12.8K Shares | $ 1.47M 13K Shares | $ 168M 1.48M Shares | $ 2.88M 25.4K Shares | $ 170M 1.5M Shares | $-169M -1.49M Shares | |
AXSM
|
$ 12K 500 Shares | $ 1K 68 Shares | $ 14K 568 Shares | $ 9.26M 359K Shares | $ 133K 5.2K Shares | $ 9.39M 365K Shares | $-9.38M -364K Shares | |
GTES
|
$ 12K 1.08K Shares | $ 0 0 Shares | $ 12K 1.08K Shares | $ 33.2M 2.91M Shares | $ 0 0 Shares | $ 33.2M 2.91M Shares | $-33.2M -2.91M Shares | |
FSP
|
$ 11K 1.5K Shares | $ 217K 29.5K Shares | $ 229K 31K Shares | $ 4.43M 601K Shares | $ 34K 4.74K Shares | $ 4.47M 605K Shares | $-4.24M -574K Shares | |
RHI
|
$ 11K 195 Shares | $ 1.14M 20K Shares | $ 1.15M 20.1K Shares | $ 12.6M 220K Shares | $ 0 0 Shares | $ 12.6M 220K Shares | $-11.4M -200K Shares | |
OSIS
|
$ 11K 100 Shares | $ 506K 4.5K Shares | $ 517K 4.6K Shares | $ 12.6M 111K Shares | $ 201K 1.79K Shares | $ 12.8M 113K Shares | $-12.2M -109K Shares | |
MET
|
$ 11K 241 Shares | $ 10.1M 203K Shares | $ 10.1M 203K Shares | $ 30M 604K Shares | $ 54K 1.1K Shares | $ 30.1M 605K Shares | $-20M -403K Shares | |
CCL
|
$ 9K 200 Shares | $ 727K 15.6K Shares | $ 737K 15.8K Shares | $ 109M 2.35M Shares | $ 7.02M 151K Shares | $ 116M 2.5M Shares | $-115M -2.48M Shares | |
SILK
|
$ 9K 200 Shares | $ 0 0 Shares | $ 9K 200 Shares | $ 0 0 Shares | $ 812K 16.8K Shares | $ 812K 16.8K Shares | $-803K -16.6K Shares | |
ING
|
$ 9K 810 Shares | $ 0 0 Shares | $ 9K 810 Shares | $ 9.22M 797K Shares | $ 0 0 Shares | $ 9.22M 797K Shares | $-9.21M -796K Shares | |
LH
|
$ 9K 56 Shares | $ 2.69M 15.5K Shares | $ 2.7M 15.6K Shares | $ 12M 69.4K Shares | $ 0 0 Shares | $ 12M 69.4K Shares | $-9.3M -53.8K Shares | |
BKNG
|
$ 9K 5 Shares | $ 14M 7.48K Shares | $ 14M 7.49K Shares | $ 1.02B 544K Shares | $ 5K 3 Shares | $ 1.02B 544K Shares | $-1.01B -537K Shares | |
INN
|
$ 8K 700 Shares | $ 352K 30.7K Shares | $ 360K 31.4K Shares | $ 1.35M 117K Shares | $ 21K 1.85K Shares | $ 1.37M 119K Shares | $-1.01M -87.9K Shares | |
PBI
|
$ 8K 1.94K Shares | $ 519K 121K Shares | $ 527K 123K Shares | $ 8.36M 1.95M Shares | $ 32K 7.53K Shares | $ 8.39M 1.96M Shares | $-7.87M -1.84M Shares | |
POOL
|
$ 8K 46 Shares | $ 4.5M 23.6K Shares | $ 4.51M 23.6K Shares | $ 31.1M 163K Shares | $ 25.2M 132K Shares | $ 56.3M 295K Shares | $-51.8M -271K Shares | |
EL
|
$ 8K 44 Shares | $ 6.84M 37.4K Shares | $ 6.85M 37.4K Shares | $ 3.26M 17.8K Shares | $ 1.55M 8.47K Shares | $ 4.81M 26.3K Shares | $2.04M 11.1K Shares | |
FNLC
|
$ 7K 288 Shares | $ 94K 3.51K Shares | $ 101K 3.79K Shares | $ 0 0 Shares | $ 15K 592 Shares | $ 15K 592 Shares | $86K 3.2K Shares | |
SNBR
|
$ 7K 185 Shares | $ 452K 11.2K Shares | $ 459K 11.4K Shares | $ 9.56M 237K Shares | $ 0 0 Shares | $ 9.56M 237K Shares | $-9.1M -225K Shares | |
BRO
|
$ 7K 216 Shares | $ 4.5M 134K Shares | $ 4.51M 135K Shares | $ 4.82M 144K Shares | $ 0 0 Shares | $ 4.82M 144K Shares | $-314K -9.38K Shares | |
ACLS
|
$ 7K 531 Shares | $ 129K 8.6K Shares | $ 137K 9.13K Shares | $ 24K 1.66K Shares | $ 48K 3.23K Shares | $ 73K 4.89K Shares | $64K 4.25K Shares | |
ULTA
|
$ 7K 23 Shares | $ 3.17M 9.13K Shares | $ 3.18M 9.15K Shares | $ 8.5M 24.5K Shares | $ 0 0 Shares | $ 8.5M 24.5K Shares | $-5.32M -15.3K Shares | |
USB
|
$ 7K 150 Shares | $ 21.2M 404K Shares | $ 21.2M 404K Shares | $ 16.6M 317K Shares | $ 726M 13.9M Shares | $ 743M 14.2M Shares | $-722M -13.8M Shares | |
AMPE
|
$ 6K 16.7K Shares | $ 0 0 Shares | $ 6K 16.7K Shares | $ 363K 932K Shares | $ 0 0 Shares | $ 363K 932K Shares | $-357K -915K Shares | |
ROLL
|
$ 6K 37 Shares | $ 987K 5.92K Shares | $ 993K 5.95K Shares | $ 7.05M 42.2K Shares | $ 11.1M 66.3K Shares | $ 18.1M 109K Shares | $-17.1M -103K Shares | |
EXPD
|
$ 6K 87 Shares | $ 2.37M 31.3K Shares | $ 2.38M 31.4K Shares | $ 3.9M 51.5K Shares | $ 0 0 Shares | $ 3.9M 51.5K Shares | $-1.52M -20.1K Shares | |
CPT
|
$ 6K 60 Shares | $ 5.51M 52.8K Shares | $ 5.52M 52.9K Shares | $ 48.9M 469K Shares | $ 0 0 Shares | $ 48.9M 469K Shares | $-43.4M -416K Shares | |
FICO
|
$ 6K 20 Shares | $ 5.75M 18.3K Shares | $ 5.75M 18.3K Shares | $ 12.4M 39.4K Shares | $ 29.6M 94.2K Shares | $ 41.9M 134K Shares | $-36.2M -115K Shares | |
CUBE
|
$ 6K 200 Shares | $ 247K 7.41K Shares | $ 254K 7.61K Shares | $ 5.25M 157K Shares | $ 0 0 Shares | $ 5.25M 157K Shares | $-5M -149K Shares | |
APH
|
$ 6K 126 Shares | $ 1.57M 32.7K Shares | $ 1.58M 32.8K Shares | $ 2.87M 59.7K Shares | $ 4.63M 96.4K Shares | $ 7.49M 156K Shares | $-5.92M -123K Shares | |
MDLZ
|
$ 6K 127 Shares | $ 10.9M 202K Shares | $ 10.9M 202K Shares | $ 15.2M 283K Shares | $ 2.03M 37.6K Shares | $ 17.3M 320K Shares | $-6.4M -119K Shares | |
APD
|
$ 6K 30 Shares | $ 5.9M 26K Shares | $ 5.9M 26.1K Shares | $ 216M 956K Shares | $ 0 0 Shares | $ 216M 956K Shares | $-210M -930K Shares | |
NLS
|
$ 5K 2.36K Shares | $ 0 0 Shares | $ 5K 2.36K Shares | $ 3.03M 1.37M Shares | $ 0 0 Shares | $ 3.03M 1.37M Shares | $-3.02M -1.37M Shares | |
FF
|
$ 5K 463 Shares | $ 91K 7.84K Shares | $ 97K 8.3K Shares | $ 1.43M 122K Shares | $ 40K 3.5K Shares | $ 1.47M 126K Shares | $-1.37M -117K Shares | |
DEI
|
$ 5K 150 Shares | $ 1.97M 49.4K Shares | $ 1.97M 49.6K Shares | $ 58K 1.47K Shares | $ 470K 11.8K Shares | $ 528K 13.3K Shares | $1.45M 36.3K Shares | |
THRM
|
$ 5K 141 Shares | $ 382K 9.14K Shares | $ 388K 9.28K Shares | $ 24.7M 589K Shares | $ 105K 2.53K Shares | $ 24.8M 592K Shares | $-24.4M -583K Shares | |
CAH
|
$ 5K 109 Shares | $ 2.32M 49.2K Shares | $ 2.32M 49.3K Shares | $ 21.3M 453K Shares | $ 1K 27 Shares | $ 21.3M 453K Shares | $-19M -404K Shares | |
AAP
|
$ 5K 38 Shares | $ 2.06M 13.4K Shares | $ 2.06M 13.4K Shares | $ 31.2M 203K Shares | $ 739K 4.8K Shares | $ 32M 207K Shares | $-29.9M -194K Shares | |
DRH
|
$ 5K 510 Shares | $ 585K 56.6K Shares | $ 590K 57.1K Shares | $ 44.2M 4.27M Shares | $ 175K 16.9K Shares | $ 44.4M 4.29M Shares | $-43.8M -4.23M Shares | |
PGRE
|
$ 5K 370 Shares | $ 3K 260 Shares | $ 8K 630 Shares | $ 6.07M 433K Shares | $ 0 0 Shares | $ 6.07M 433K Shares | $-6.06M -432K Shares | |
SCHN
|
$ 5K 200 Shares | $ 201K 7.69K Shares | $ 206K 7.89K Shares | $ 2.39M 91.2K Shares | $ 79K 3.04K Shares | $ 2.47M 94.2K Shares | $-2.26M -86.3K Shares | |
VICI
|
$ 5K 264 Shares | $ 2.22M 101K Shares | $ 2.22M 101K Shares | $ 94.4M 4.29M Shares | $ 1.03M 46.9K Shares | $ 95.5M 4.33M Shares | $-93.3M -4.23M Shares | |
PRG
|
$ 5K 100 Shares | $ 0 0 Shares | $ 5K 100 Shares | — | $5K 100 Shares | |||
MC
|
$ 4K 135 Shares | $ 388K 11.1K Shares | $ 393K 11.2K Shares | $ 49.4M 1.41M Shares | $ 371K 10.6K Shares | $ 49.8M 1.42M Shares | $-49.4M -1.41M Shares | |
PIPR
|
$ 4K 58 Shares | $ 287K 3.88K Shares | $ 292K 3.93K Shares | $ 34K 466 Shares | $ 146K 1.97K Shares | $ 180K 2.44K Shares | $112K 1.5K Shares | |
CTRE
|
$ 4K 180 Shares | $ 570K 24K Shares | $ 574K 24.2K Shares | $ 7.16M 301K Shares | $ 205K 8.63K Shares | $ 7.36M 310K Shares | $-6.79M -285K Shares | |
ALG
|
$ 4K 46 Shares | $ 242K 2.43K Shares | $ 247K 2.47K Shares | $ 5.96M 59.6K Shares | $ 56K 568 Shares | $ 6.01M 60.2K Shares | $-5.77M -57.7K Shares | |
F
|
$ 4K 404 Shares | $ 4.97M 485K Shares | $ 4.97M 486K Shares | $ 14.8M 1.44M Shares | $ 2K 206 Shares | $ 14.8M 1.44M Shares | $-9.81M -959K Shares |