Top Companies Added as New Holdings by Institutions in Q2 2023
Ticker | Buy | Sell | Net Activity | |||||
---|---|---|---|---|---|---|---|---|
New Holding | Increment | Total | Sold Out | Reduction | Total | |||
HON
|
$ 777M 3.74M Shares | $ 3.32B 16M Shares | $ 4.09B 19.7M Shares | $ 676K 3.26K Shares | $ 3.41B 16.4M Shares | $ 3.41B 16.4M Shares | $685M 3.3M Shares | |
CVX
|
$ 766M 4.87M Shares | $ 6.34B 40.3M Shares | $ 7.11B 45.2M Shares | $ 2.47B 15.7M Shares | $ 12.5B 79.6M Shares | $ 15B 95.3M Shares | $-7.89B -50.2M Shares | |
MNDY
|
$ 764M 4.46M Shares | $ 772M 4.51M Shares | $ 1.54B 8.97M Shares | $ 0 0 Shares | $ 1.18B 6.9M Shares | $ 1.18B 6.9M Shares | $353M 2.06M Shares | |
KO
|
$ 762M 12.7M Shares | $ 6.86B 114M Shares | $ 7.63B 127M Shares | $ 2.46B 40.8M Shares | $ 6.08B 101M Shares | $ 8.54B 142M Shares | $-911M -15.1M Shares | |
TDG
|
$ 747M 836K Shares | $ 1.75B 1.95M Shares | $ 2.49B 2.79M Shares | $ 244M 272K Shares | $ 2.02B 2.25M Shares | $ 2.26B 2.53M Shares | $235M 263K Shares | |
DIS
|
$ 746M 8.35M Shares | $ 3.52B 39.4M Shares | $ 4.27B 47.8M Shares | $ 1.39B 15.6M Shares | $ 7.81B 87.5M Shares | $ 9.2B 103M Shares | $-4.93B -55.3M Shares | |
AXP
|
$ 745M 4.28M Shares | $ 3.58B 20.5M Shares | $ 4.32B 24.8M Shares | $ 981M 5.63M Shares | $ 4.43B 25.4M Shares | $ 5.41B 31.1M Shares | $-1.09B -6.24M Shares | |
BLK
|
$ 744M 1.08M Shares | $ 2.75B 3.98M Shares | $ 3.49B 5.05M Shares | $ 1.02B 1.47M Shares | $ 33.9B 49M Shares | $ 34.9B 50.5M Shares | $-31.4B -45.4M Shares | |
ICE
|
$ 742M 6.56M Shares | $ 2.39B 21.1M Shares | $ 3.13B 27.7M Shares | $ 625M 5.53M Shares | $ 2.66B 23.5M Shares | $ 3.28B 29M Shares | $-151M -1.34M Shares | |
SNAP
|
$ 742M 62.7M Shares | $ 521M 44M Shares | $ 1.26B 107M Shares | $ 0 0 Shares | $ 731M 61.7M Shares | $ 731M 61.7M Shares | $533M 45M Shares | |
RCL
|
$ 738M 7.11M Shares | $ 1.39B 13.4M Shares | $ 2.13B 20.5M Shares | $ 252M 2.43M Shares | $ 1B 9.65M Shares | $ 1.25B 12.1M Shares | $875M 8.44M Shares | |
CCL
|
$ 736M 39.1M Shares | $ 1.19B 63.1M Shares | $ 1.92B 102M Shares | $ 46.1M 2.45M Shares | $ 832M 44.2M Shares | $ 878M 46.6M Shares | $1.05B 55.5M Shares | |
SMCI
|
$ 735M 2.95M Shares | $ 991M 3.97M Shares | $ 1.73B 6.92M Shares | $ 5.62M 22.6K Shares | $ 1.84B 7.38M Shares | $ 1.84B 7.4M Shares | $-118M -475K Shares | |
DDOG
|
$ 734M 7.46M Shares | $ 2.59B 26.3M Shares | $ 3.32B 33.7M Shares | $ 238M 2.42M Shares | $ 2.92B 29.7M Shares | $ 3.16B 32.2M Shares | $156M 1.58M Shares | |
ABNB
|
$ 725M 5.66M Shares | $ 4.61B 36M Shares | $ 5.34B 41.6M Shares | $ 57.6M 450K Shares | $ 2.2B 17.2M Shares | $ 2.26B 17.6M Shares | $3.08B 24M Shares | |
PDD
|
$ 721M 10.4M Shares | $ 2.11B 30.5M Shares | $ 2.83B 40.9M Shares | $ 331M 4.79M Shares | $ 3.94B 57M Shares | $ 4.27B 61.8M Shares | $-1.45B -20.9M Shares | |
MAR
|
$ 721M 3.92M Shares | $ 1.78B 9.68M Shares | $ 2.5B 13.6M Shares | $ 386M 2.1M Shares | $ 1.78B 9.72M Shares | $ 2.17B 11.8M Shares | $328M 1.79M Shares | |
SPLK
|
$ 714M 6.73M Shares | $ 867M 8.17M Shares | $ 1.58B 14.9M Shares | $ 82.9M 782K Shares | $ 450M 4.24M Shares | $ 533M 5.02M Shares | $1.05B 9.88M Shares | |
CI
|
$ 706M 2.52M Shares | $ 4.4B 15.7M Shares | $ 5.11B 18.2M Shares | $ 817M 2.91M Shares | $ 4.48B 15.9M Shares | $ 5.29B 18.9M Shares | $-187M -665K Shares | |
PFE
|
$ 700M 19.1M Shares | $ 5.54B 151M Shares | $ 6.24B 170M Shares | $ 2.08B 56.6M Shares | $ 6.99B 191M Shares | $ 9.07B 247M Shares | $-2.83B -77M Shares | |
EWJ
|
$ 700M 11.3M Shares | $ 1.66B 26.8M Shares | $ 2.36B 38.1M Shares | $ 0 0 Shares | $ 614M 9.92M Shares | $ 614M 9.92M Shares | $1.74B 28.1M Shares | |
SGOV
|
$ 689M 6.85M Shares | $ 922M 9.16M Shares | $ 1.61B 16M Shares | $ 0 0 Shares | $ 1.65B 16.4M Shares | $ 1.65B 16.4M Shares | $-36.4M -362K Shares | |
APO
|
$ 689M 8.96M Shares | $ 1.32B 17.2M Shares | $ 2.01B 26.1M Shares | $ 342M 4.46M Shares | $ 1.28B 16.6M Shares | $ 1.62B 21.1M Shares | $385M 5.02M Shares | |
BILL
|
$ 687M 5.88M Shares | $ 712M 6.09M Shares | $ 1.4B 12M Shares | $ 29.4M 252K Shares | $ 1.09B 9.36M Shares | $ 1.12B 9.61M Shares | $277M 2.37M Shares | |
ASML
|
$ 683M 942K Shares | $ 1.95B 2.69M Shares | $ 2.63B 3.63M Shares | $ 0 0 Shares | $ 4.22B 5.82M Shares | $ 4.22B 5.82M Shares | $-1.59B -2.19M Shares | |
TRU
|
$ 681M 8.69M Shares | $ 1.38B 17.6M Shares | $ 2.06B 26.3M Shares | $ 135M 1.72M Shares | $ 1.63B 20.7M Shares | $ 1.76B 22.5M Shares | $302M 3.85M Shares | |
PG
|
$ 678M 4.47M Shares | $ 8.32B 54.9M Shares | $ 9B 59.3M Shares | $ 3.5B 23M Shares | $ 15.5B 102M Shares | $ 19B 125M Shares | $-10B -66.1M Shares | |
RE
|
$ 677M 1.98M Shares | $ 1.62B 4.74M Shares | $ 2.3B 6.72M Shares | $ 137M 400K Shares | $ 1.47B 4.29M Shares | $ 1.6B 4.69M Shares | $694M 2.03M Shares | |
U
|
$ 676M 15.6M Shares | $ 441M 10.2M Shares | $ 1.12B 25.7M Shares | $ 224M 5.17M Shares | $ 918M 21.1M Shares | $ 1.14B 26.3M Shares | $-25.2M -579K Shares | |
ACI
|
$ 672M 30.8M Shares | $ 1.24B 56.6M Shares | $ 1.91B 87.4M Shares | $ 12M 550K Shares | $ 1.22B 55.8M Shares | $ 1.23B 56.4M Shares | $677M 31M Shares | |
DICE
|
$ 671M 14.4M Shares | $ 215M 4.63M Shares | $ 886M 19.1M Shares | $ 0 0 Shares | $ 318M 6.85M Shares | $ 318M 6.85M Shares | $568M 12.2M Shares | |
TECH
|
$ 669M 8.2M Shares | $ 799M 9.79M Shares | $ 1.47B 18M Shares | $ 30.9M 378K Shares | $ 820M 10M Shares | $ 851M 10.4M Shares | $617M 7.56M Shares | |
T
|
$ 667M 41.8M Shares | $ 15.7B 986M Shares | $ 16.4B 1.03B Shares | $ 1.14B 71.2M Shares | $ 16.9B 1.06B Shares | $ 18B 1.13B Shares | $-1.6B -100M Shares | |
ACM
|
$ 661M 7.81M Shares | $ 554M 6.54M Shares | $ 1.21B 14.3M Shares | $ 220M 2.6M Shares | $ 611M 7.21M Shares | $ 831M 9.82M Shares | $384M 4.53M Shares | |
KLAC
|
$ 661M 1.36M Shares | $ 1.74B 3.59M Shares | $ 2.4B 4.95M Shares | $ 755M 1.56M Shares | $ 5.02B 10.3M Shares | $ 5.77B 11.9M Shares | $-3.37B -6.95M Shares | |
CVS
|
$ 659M 9.54M Shares | $ 3.17B 45.9M Shares | $ 3.83B 55.5M Shares | $ 959M 13.9M Shares | $ 4.97B 71.9M Shares | $ 5.93B 85.8M Shares | $-2.09B -30.3M Shares | |
TXN
|
$ 659M 3.66M Shares | $ 5.57B 30.9M Shares | $ 6.23B 34.6M Shares | $ 1.66B 9.24M Shares | $ 7.44B 41.3M Shares | $ 9.1B 50.6M Shares | $-2.88B -16M Shares | |
PEP
|
$ 658M 3.55M Shares | $ 6.43B 34.7M Shares | $ 7.09B 38.3M Shares | $ 2.49B 13.5M Shares | $ 19.2B 103M Shares | $ 21.7B 117M Shares | $-14.6B -78.6M Shares | |
SPLG
|
$ 656M 12.6M Shares | $ 1.41B 27M Shares | $ 2.06B 39.6M Shares | $ 0 0 Shares | $ 391M 7.5M Shares | $ 391M 7.5M Shares | $1.67B 32.1M Shares | |
FTNT
|
$ 653M 8.64M Shares | $ 2.6B 34.4M Shares | $ 3.25B 43M Shares | $ 397M 5.26M Shares | $ 2.86B 37.8M Shares | $ 3.26B 43.1M Shares | $-3.93M -51.9K Shares | |
XLK
|
$ 651M 3.75M Shares | $ 1.94B 11.2M Shares | $ 2.59B 14.9M Shares | $ 0 0 Shares | $ 2.82B 16.2M Shares | $ 2.82B 16.2M Shares | $-225M -1.29M Shares | |
CMG
|
$ 651M 304K Shares | $ 3.45B 1.61M Shares | $ 4.1B 1.92M Shares | $ 668M 312K Shares | $ 41B 19.2M Shares | $ 41.7B 19.5M Shares | $-37.6B -17.6M Shares | |
NVO
|
$ 650M 4.01M Shares | $ 1.17B 7.2M Shares | $ 1.81B 11.2M Shares | $ 1.82M 11.3K Shares | $ 2.73B 16.8M Shares | $ 2.73B 16.9M Shares | $-914M -5.65M Shares | |
PBR
|
$ 649M 46.9M Shares | $ 642M 46.4M Shares | $ 1.29B 93.3M Shares | $ 0 0 Shares | $ 719M 52M Shares | $ 719M 52M Shares | $571M 41.3M Shares | |
VLO
|
$ 649M 5.53M Shares | $ 1.93B 16.4M Shares | $ 2.58B 22M Shares | $ 509M 4.34M Shares | $ 3.38B 28.8M Shares | $ 3.89B 33.1M Shares | $-1.31B -11.2M Shares | |
SHW
|
$ 643M 2.42M Shares | $ 3.16B 11.9M Shares | $ 3.81B 14.3M Shares | $ 465M 1.75M Shares | $ 4.26B 16M Shares | $ 4.72B 17.8M Shares | $-915M -3.44M Shares | |
BIL
|
$ 641M 6.98M Shares | $ 2.16B 23.5M Shares | $ 2.8B 30.5M Shares | $ 0 7 Shares | $ 5.56B 60.6M Shares | $ 5.56B 60.6M Shares | $-2.76B -30.1M Shares | |
PINS
|
$ 639M 23.4M Shares | $ 1.15B 41.9M Shares | $ 1.79B 65.3M Shares | $ 156M 5.7M Shares | $ 2.6B 95M Shares | $ 2.75B 101M Shares | $-968M -35.4M Shares | |
SHOP
|
$ 636M 9.84M Shares | $ 4.51B 69.8M Shares | $ 5.14B 79.6M Shares | $ 760M 11.8M Shares | $ 4.73B 73.3M Shares | $ 5.49B 85M Shares | $-349M -5.41M Shares | |
BLDR
|
$ 635M 4.67M Shares | $ 1.75B 12.9M Shares | $ 2.38B 17.5M Shares | $ 245M 1.8M Shares | $ 2.54B 18.6M Shares | $ 2.78B 20.4M Shares | $-396M -2.91M Shares |