Top Companies Added as New Holdings by Institutions in Q2 2022
Ticker | Buy | Sell | Net Activity | |||||
---|---|---|---|---|---|---|---|---|
New Holding | Increment | Total | Sold Out | Reduction | Total | |||
LZ
|
$ 92.2M 8.39M Shares | $ 100M 9.11M Shares | $ 192M 17.5M Shares | $ 41.2M 3.75M Shares | $ 88.6M 8.06M Shares | $ 130M 11.8M Shares | $62.4M 5.68M Shares | |
VYMI
|
$ 92.1M 1.57M Shares | $ 238M 4.05M Shares | $ 330M 5.61M Shares | $ 7.97M 135K Shares | $ 24.5M 416K Shares | $ 32.4M 552K Shares | $298M 5.06M Shares | |
BLKB
|
$ 92.1M 1.59M Shares | $ 215M 3.7M Shares | $ 307M 5.29M Shares | $ 17.6M 303K Shares | $ 148M 2.54M Shares | $ 165M 2.84M Shares | $142M 2.44M Shares | |
PNFP
|
$ 92M 1.27M Shares | $ 180M 2.49M Shares | $ 272M 3.77M Shares | $ 35.3M 488K Shares | $ 223M 3.09M Shares | $ 259M 3.58M Shares | $13.7M 190K Shares | |
GDS
|
$ 92M 2.76M Shares | $ 111M 3.34M Shares | $ 203M 6.09M Shares | $ 214M 6.42M Shares | $ 359M 10.7M Shares | $ 573M 17.2M Shares | $-370M -11.1M Shares | |
VRNS
|
$ 91.9M 3.14M Shares | $ 185M 6.31M Shares | $ 277M 9.45M Shares | $ 23.5M 803K Shares | $ 293M 9.99M Shares | $ 316M 10.8M Shares | $-39.5M -1.35M Shares | |
EUFN
|
$ 91.9M 5.79M Shares | $ 79.2M 4.99M Shares | $ 171M 10.8M Shares | $ 51.1M 3.22M Shares | $ 195M 12.3M Shares | $ 246M 15.5M Shares | $-75.2M -4.74M Shares | |
FLNG
|
$ 91.9M 3.36M Shares | $ 49M 1.79M Shares | $ 141M 5.14M Shares | $ 29.7M 1.08M Shares | $ 42.9M 1.56M Shares | $ 72.5M 2.65M Shares | $68.4M 2.5M Shares | |
EXFY
|
$ 91.8M 5.16M Shares | $ 46.8M 2.63M Shares | $ 139M 7.79M Shares | $ 5.55M 312K Shares | $ 6.14M 345K Shares | $ 11.7M 657K Shares | $127M 7.13M Shares | |
VVV
|
$ 91.7M 3.18M Shares | $ 184M 6.37M Shares | $ 276M 9.56M Shares | $ 38.1M 1.32M Shares | $ 292M 10.1M Shares | $ 330M 11.5M Shares | $-54.9M -1.9M Shares | |
LECO
|
$ 91.6M 743K Shares | $ 237M 1.92M Shares | $ 328M 2.66M Shares | $ 28.2M 228K Shares | $ 200M 1.62M Shares | $ 228M 1.85M Shares | $99.9M 809K Shares | |
COLB
|
$ 91.6M 3.2M Shares | $ 215M 7.51M Shares | $ 307M 10.7M Shares | $ 56.1M 1.96M Shares | $ 93.1M 3.25M Shares | $ 149M 5.21M Shares | $158M 5.5M Shares | |
FROG
|
$ 91.4M 4.34M Shares | $ 163M 7.74M Shares | $ 255M 12.1M Shares | $ 32.3M 1.54M Shares | $ 166M 7.9M Shares | $ 199M 9.43M Shares | $55.8M 2.65M Shares | |
HLLY
|
$ 91.4M 8.71M Shares | $ 79.7M 7.59M Shares | $ 171M 16.3M Shares | $ 14.2M 1.35M Shares | $ 31.5M 3M Shares | $ 45.7M 4.35M Shares | $125M 11.9M Shares | |
WHD
|
$ 91.3M 2.27M Shares | $ 155M 3.84M Shares | $ 246M 6.11M Shares | $ 12.4M 307K Shares | $ 174M 4.32M Shares | $ 186M 4.63M Shares | $59.6M 1.48M Shares | |
GTYH
|
$ 91.2M 14.6M Shares | $ 22.3M 3.56M Shares | $ 113M 18.1M Shares | $ 88.1M 14.1M Shares | $ 22.6M 3.62M Shares | $ 111M 17.7M Shares | $2.79M 445K Shares | |
LOPE
|
$ 90.9M 965K Shares | $ 222M 2.35M Shares | $ 312M 3.32M Shares | $ 28.8M 306K Shares | $ 382M 4.06M Shares | $ 411M 4.36M Shares | $-98.6M -1.05M Shares | |
HBI
|
$ 90.8M 8.82M Shares | $ 254M 24.7M Shares | $ 345M 33.5M Shares | $ 104M 10.2M Shares | $ 213M 20.7M Shares | $ 318M 30.9M Shares | $27.3M 2.65M Shares | |
CRC
|
$ 90.7M 2.36M Shares | $ 343M 8.92M Shares | $ 434M 11.3M Shares | $ 101M 2.62M Shares | $ 268M 6.95M Shares | $ 369M 9.57M Shares | $65.6M 1.7M Shares | |
PCTY
|
$ 90.5M 519K Shares | $ 473M 2.71M Shares | $ 563M 3.23M Shares | $ 40.5M 232K Shares | $ 270M 1.55M Shares | $ 311M 1.78M Shares | $253M 1.45M Shares | |
CRK
|
$ 90.5M 7.49M Shares | $ 130M 10.7M Shares | $ 220M 18.2M Shares | $ 16.9M 1.4M Shares | $ 123M 10.2M Shares | $ 140M 11.6M Shares | $80.2M 6.64M Shares | |
GFF
|
$ 90.4M 3.23M Shares | $ 75.9M 2.71M Shares | $ 166M 5.93M Shares | $ 65.1M 2.32M Shares | $ 83.1M 2.96M Shares | $ 148M 5.29M Shares | $18.2M 648K Shares | |
FTSM
|
$ 90.1M 1.52M Shares | $ 1.15B 19.3M Shares | $ 1.24B 20.8M Shares | $ 23.8M 401K Shares | $ 53.7M 905K Shares | $ 77.5M 1.31M Shares | $1.16B 19.5M Shares | |
CIM
|
$ 90.1M 10.2M Shares | $ 67.9M 7.7M Shares | $ 158M 17.9M Shares | $ 22.5M 2.55M Shares | $ 44.4M 5.03M Shares | $ 66.8M 7.58M Shares | $91.1M 10.3M Shares | |
MGI
|
$ 90M 9M Shares | $ 189M 18.9M Shares | $ 279M 27.9M Shares | $ 56M 5.6M Shares | $ 66.2M 6.62M Shares | $ 122M 12.2M Shares | $157M 15.7M Shares | |
RGLD
|
$ 89.6M 839K Shares | $ 384M 3.6M Shares | $ 474M 4.44M Shares | $ 37.9M 355K Shares | $ 480M 4.49M Shares | $ 518M 4.85M Shares | $-43.8M -410K Shares | |
MGA
|
$ 89.5M 1.63M Shares | $ 669M 12.2M Shares | $ 759M 13.8M Shares | $ 95.2M 1.73M Shares | $ 575M 10.5M Shares | $ 670M 12.2M Shares | $88.6M 1.61M Shares | |
CGGO
|
$ 88.8M 4.42M Shares | $ 87.8M 4.37M Shares | $ 177M 8.8M Shares | $ 2.8M 139K Shares | $ 2.61M 130K Shares | $ 5.41M 269K Shares | $171M 8.53M Shares | |
FELE
|
$ 88.5M 1.21M Shares | $ 74.2M 1.01M Shares | $ 163M 2.22M Shares | $ 16.7M 228K Shares | $ 65.4M 892K Shares | $ 82.1M 1.12M Shares | $80.6M 1.1M Shares | |
DIHP
|
$ 88.5M 4.14M Shares | $ 137M 6.4M Shares | $ 225M 10.5M Shares | $ 2.69M 126K Shares | $ 33K 1.58K Shares | $ 2.73M 128K Shares | $223M 10.4M Shares | |
ROL
|
$ 88.5M 2.53M Shares | $ 402M 11.5M Shares | $ 491M 14.1M Shares | $ 19.6M 560K Shares | $ 294M 8.43M Shares | $ 314M 8.99M Shares | $177M 5.07M Shares | |
CELH
|
$ 88.3M 1.35M Shares | $ 252M 3.87M Shares | $ 341M 5.22M Shares | $ 16.1M 246K Shares | $ 118M 1.8M Shares | $ 134M 2.05M Shares | $207M 3.17M Shares | |
NPTN
|
$ 88.3M 5.61M Shares | $ 112M 7.14M Shares | $ 201M 12.8M Shares | $ 41.9M 2.67M Shares | $ 82.4M 5.24M Shares | $ 124M 7.9M Shares | $76.3M 4.85M Shares | |
JJSF
|
$ 88.3M 632K Shares | $ 85M 608K Shares | $ 173M 1.24M Shares | $ 13M 93.3K Shares | $ 57.2M 410K Shares | $ 70.3M 503K Shares | $103M 737K Shares | |
AMCR
|
$ 88.2M 7.1M Shares | $ 1.17B 93.9M Shares | $ 1.26B 101M Shares | $ 35.2M 2.83M Shares | $ 262M 21.1M Shares | $ 297M 23.9M Shares | $958M 77.1M Shares | |
DXC
|
$ 88.1M 2.91M Shares | $ 402M 13.3M Shares | $ 490M 16.2M Shares | $ 270M 8.92M Shares | $ 238M 7.84M Shares | $ 508M 16.8M Shares | $-17.8M -588K Shares | |
ATGE
|
$ 88.1M 2.45M Shares | $ 117M 3.26M Shares | $ 205M 5.71M Shares | $ 61M 1.7M Shares | $ 182M 5.07M Shares | $ 243M 6.76M Shares | $-37.9M -1.05M Shares | |
THO
|
$ 88M 1.18M Shares | $ 382M 5.11M Shares | $ 470M 6.29M Shares | $ 93.6M 1.25M Shares | $ 315M 4.21M Shares | $ 408M 5.46M Shares | $61.8M 827K Shares | |
AVEM
|
$ 87.6M 1.68M Shares | $ 118M 2.26M Shares | $ 205M 3.94M Shares | $ 25M 480K Shares | $ 27.9M 535K Shares | $ 52.8M 1.02M Shares | $152M 2.93M Shares | |
UPST
|
$ 87.4M 2.77M Shares | $ 188M 5.93M Shares | $ 275M 8.7M Shares | $ 119M 3.75M Shares | $ 230M 7.29M Shares | $ 349M 11M Shares | $-74.1M -2.34M Shares | |
SPSC
|
$ 87.4M 773K Shares | $ 143M 1.26M Shares | $ 230M 2.04M Shares | $ 9.14M 80.8K Shares | $ 144M 1.27M Shares | $ 153M 1.35M Shares | $77.4M 685K Shares | |
KRTX
|
$ 87.4M 691K Shares | $ 320M 2.53M Shares | $ 407M 3.22M Shares | $ 69.6M 550K Shares | $ 275M 2.18M Shares | $ 345M 2.73M Shares | $62.3M 493K Shares | |
RNG
|
$ 87.3M 1.67M Shares | $ 842M 16.1M Shares | $ 929M 17.8M Shares | $ 173M 3.32M Shares | $ 604M 11.6M Shares | $ 777M 14.9M Shares | $151M 2.9M Shares | |
NKTX
|
$ 87.2M 7.08M Shares | $ 148M 12M Shares | $ 235M 19.1M Shares | $ 10.6M 864K Shares | $ 14.3M 1.16M Shares | $ 24.9M 2.02M Shares | $210M 17M Shares | |
VTR
|
$ 87.2M 1.7M Shares | $ 893M 17.4M Shares | $ 980M 19.1M Shares | $ 78.4M 1.52M Shares | $ 787M 15.3M Shares | $ 866M 16.8M Shares | $115M 2.23M Shares | |
NNN
|
$ 86.9M 2.02M Shares | $ 189M 4.39M Shares | $ 276M 6.41M Shares | $ 22.5M 523K Shares | $ 200M 4.64M Shares | $ 222M 5.16M Shares | $53.8M 1.25M Shares | |
AUS
|
$ 86.8M 8.91M Shares | $ 63.8M 6.54M Shares | $ 151M 15.4M Shares | $ 89.7M 9.2M Shares | $ 50.7M 5.2M Shares | $ 140M 14.4M Shares | $10.2M 1.04M Shares | |
ET
|
$ 86.4M 8.66M Shares | $ 860M 86.2M Shares | $ 947M 94.9M Shares | $ 54.4M 5.45M Shares | $ 697M 69.8M Shares | $ 751M 75.3M Shares | $196M 19.6M Shares | |
FOLD
|
$ 86.3M 8.04M Shares | $ 229M 21.3M Shares | $ 315M 29.3M Shares | $ 13.2M 1.23M Shares | $ 260M 24.2M Shares | $ 273M 25.5M Shares | $41.4M 3.86M Shares | |
DFAE
|
$ 86.3M 3.72M Shares | $ 247M 10.7M Shares | $ 333M 14.4M Shares | $ 32.2M 1.39M Shares | $ 29.5M 1.27M Shares | $ 61.6M 2.66M Shares | $272M 11.7M Shares |