Top Companies Added as New Holdings by Institutions in Q2 2024
Ticker | Buy | Sell | Net Activity | |||||
---|---|---|---|---|---|---|---|---|
New Holding | Increment | Total | Sold Out | Reduction | Total | |||
DE
|
$ 1.08B 2.9M Shares | $ 4.86B 13M Shares | $ 5.94B 15.9M Shares | $ 2M 5.36K Shares | $ 3.53B 9.44M Shares | $ 3.53B 9.45M Shares | $2.41B 6.46M Shares | |
SNOW
|
$ 1.07B 7.92M Shares | $ 3.47B 25.7M Shares | $ 4.54B 33.6M Shares | $ 801K 5.93K Shares | $ 2.57B 19M Shares | $ 2.57B 19M Shares | $1.97B 14.6M Shares | |
MCK
|
$ 1.07B 1.83M Shares | $ 3.24B 5.55M Shares | $ 4.31B 7.37M Shares | $ 11.4M 19.5K Shares | $ 2.9B 4.97M Shares | $ 2.91B 4.99M Shares | $1.39B 2.39M Shares | |
AWK
|
$ 1.05B 8.09M Shares | $ 1.56B 12.1M Shares | $ 2.61B 20.2M Shares | $ 357K 2.77K Shares | $ 1.5B 11.6M Shares | $ 1.5B 11.6M Shares | $1.1B 8.54M Shares | |
FYBR
|
$ 1.04B 39.7M Shares | $ 195M 7.45M Shares | $ 1.23B 47.2M Shares | $ 0 0 Shares | $ 156M 5.97M Shares | $ 156M 5.97M Shares | $1.08B 41.2M Shares | |
LRCX
|
$ 1.04B 972K Shares | $ 5.94B 5.58M Shares | $ 6.98B 6.55M Shares | $ 2.97M 2.79K Shares | $ 6.78B 6.37M Shares | $ 6.78B 6.37M Shares | $195M 183K Shares | |
CVNA
|
$ 1.03B 8.02M Shares | $ 1.36B 10.6M Shares | $ 2.4B 18.6M Shares | $ 0 0 Shares | $ 3.52B 27.3M Shares | $ 3.52B 27.3M Shares | $-1.12B -8.72M Shares | |
ANET
|
$ 1.03B 2.94M Shares | $ 5.82B 16.6M Shares | $ 6.85B 19.5M Shares | $ 13.2M 37.7K Shares | $ 5.79B 16.5M Shares | $ 5.8B 16.6M Shares | $1.04B 2.97M Shares | |
DASH
|
$ 1.03B 9.44M Shares | $ 3.29B 30.3M Shares | $ 4.32B 39.7M Shares | $ 0 0 Shares | $ 2.66B 24.4M Shares | $ 2.66B 24.4M Shares | $1.66B 15.3M Shares | |
COP
|
$ 1.03B 8.96M Shares | $ 5.24B 45.8M Shares | $ 6.26B 54.8M Shares | $ 1.57M 13.8K Shares | $ 5.02B 43.9M Shares | $ 5.02B 43.9M Shares | $1.24B 10.9M Shares | |
FTNT
|
$ 1.02B 17M Shares | $ 2.63B 43.7M Shares | $ 3.66B 60.6M Shares | $ 1K 33 Shares | $ 2.33B 38.7M Shares | $ 2.33B 38.7M Shares | $1.32B 21.9M Shares | |
CDNS
|
$ 1.01B 3.29M Shares | $ 4.55B 14.8M Shares | $ 5.56B 18.1M Shares | $ 1.4M 4.55K Shares | $ 3.98B 12.9M Shares | $ 3.98B 12.9M Shares | $1.57B 5.11M Shares | |
FSLR
|
$ 1.01B 4.48M Shares | $ 3.36B 14.9M Shares | $ 4.37B 19.4M Shares | $ 51K 227 Shares | $ 2.95B 13.1M Shares | $ 2.95B 13.1M Shares | $1.42B 6.29M Shares | |
CMCSA
|
$ 1.01B 25.7M Shares | $ 5.29B 135M Shares | $ 6.3B 161M Shares | $ 1.11M 28.4K Shares | $ 8.51B 217M Shares | $ 8.51B 217M Shares | $-2.21B -56.5M Shares | |
ESTC
|
$ 1.01B 8.82M Shares | $ 624M 5.48M Shares | $ 1.63B 14.3M Shares | $ 0 1 Shares | $ 687M 6.03M Shares | $ 687M 6.03M Shares | $942M 8.27M Shares | |
DHR
|
$ 1B 4.01M Shares | $ 5.82B 23.3M Shares | $ 6.83B 27.3M Shares | $ 8.94M 35.8K Shares | $ 6.67B 26.7M Shares | $ 6.68B 26.7M Shares | $147M 587K Shares | |
VRT
|
$ 993M 11.5M Shares | $ 4.2B 48.5M Shares | $ 5.2B 60M Shares | $ 0 0 Shares | $ 3.09B 35.7M Shares | $ 3.09B 35.7M Shares | $2.11B 24.4M Shares | |
ABBV
|
$ 991M 5.78M Shares | $ 9.16B 53.4M Shares | $ 10.2B 59.2M Shares | $ 6.25M 36.4K Shares | $ 6.72B 39.2M Shares | $ 6.73B 39.2M Shares | $3.43B 20M Shares | |
IJR
|
$ 986M 9.24M Shares | $ 2.44B 22.9M Shares | $ 3.42B 32.1M Shares | $ 16.5M 155K Shares | $ 1.7B 15.9M Shares | $ 1.71B 16.1M Shares | $1.71B 16M Shares | |
WFC
|
$ 983M 16.5M Shares | $ 5.23B 88.1M Shares | $ 6.22B 105M Shares | $ 1.21M 20.3K Shares | $ 11B 186M Shares | $ 11B 186M Shares | $-4.8B -80.8M Shares | |
VUG
|
$ 976M 2.61M Shares | $ 8.88B 23.7M Shares | $ 9.86B 26.4M Shares | $ 966K 2.58K Shares | $ 972M 2.6M Shares | $ 973M 2.6M Shares | $8.88B 23.8M Shares | |
CVS
|
$ 970M 16.4M Shares | $ 7.05B 119M Shares | $ 8.02B 136M Shares | $ 17.2M 291K Shares | $ 6.29B 106M Shares | $ 6.31B 107M Shares | $1.72B 29M Shares | |
BERY
|
$ 968M 16.4M Shares | $ 333M 5.65M Shares | $ 1.3B 22.1M Shares | $ 0 0 Shares | $ 457M 7.76M Shares | $ 457M 7.76M Shares | $844M 14.3M Shares | |
AME
|
$ 963M 5.78M Shares | $ 1.43B 8.58M Shares | $ 2.39B 14.4M Shares | $ 2K 15 Shares | $ 1.87B 11.2M Shares | $ 1.87B 11.2M Shares | $520M 3.12M Shares | |
ASML
|
$ 962M 941K Shares | $ 7.3B 7.14M Shares | $ 8.26B 8.08M Shares | $ 0 0 Shares | $ 3.84B 3.75M Shares | $ 3.84B 3.75M Shares | $4.42B 4.32M Shares | |
AA
|
$ 953M 24M Shares | $ 463M 11.6M Shares | $ 1.42B 35.6M Shares | $ 481K 12.1K Shares | $ 753M 18.9M Shares | $ 754M 18.9M Shares | $662M 16.6M Shares | |
PANW
|
$ 949M 2.8M Shares | $ 5.26B 15.5M Shares | $ 6.21B 18.3M Shares | $ 3.93M 11.6K Shares | $ 2.64B 7.79M Shares | $ 2.64B 7.8M Shares | $3.56B 10.5M Shares | |
ARES
|
$ 944M 7.08M Shares | $ 2.33B 17.5M Shares | $ 3.27B 24.5M Shares | $ 0 0 Shares | $ 1.16B 8.67M Shares | $ 1.16B 8.67M Shares | $2.12B 15.9M Shares | |
BMY
|
$ 930M 22.4M Shares | $ 3.62B 87.1M Shares | $ 4.55B 109M Shares | $ 3.64M 87.7K Shares | $ 4.99B 120M Shares | $ 4.99B 120M Shares | $-446M -10.7M Shares | |
PH
|
$ 925M 1.83M Shares | $ 2.69B 5.31M Shares | $ 3.61B 7.14M Shares | $ 0 0 Shares | $ 3.28B 6.49M Shares | $ 3.28B 6.49M Shares | $331M 653K Shares | |
PGR
|
$ 924M 4.45M Shares | $ 5.66B 27.2M Shares | $ 6.58B 31.7M Shares | $ 294K 1.42K Shares | $ 6.23B 30M Shares | $ 6.23B 30M Shares | $354M 1.7M Shares | |
AMGN
|
$ 924M 2.96M Shares | $ 6.7B 21.4M Shares | $ 7.63B 24.4M Shares | $ 1.5M 4.82K Shares | $ 6.24B 20M Shares | $ 6.24B 20M Shares | $1.38B 4.43M Shares | |
PRF
|
$ 923M 24.3M Shares | $ 43.6M 1.15M Shares | $ 967M 25.5M Shares | $ 0 0 Shares | $ 162M 4.27M Shares | $ 162M 4.27M Shares | $805M 21.2M Shares | |
HWM
|
$ 918M 11.8M Shares | $ 1.51B 19.4M Shares | $ 2.42B 31.2M Shares | $ 0 0 Shares | $ 2.44B 31.4M Shares | $ 2.44B 31.4M Shares | $-14.1M -182K Shares | |
TT
|
$ 915M 2.78M Shares | $ 3.1B 9.41M Shares | $ 4.01B 12.2M Shares | $ 3K 12 Shares | $ 3.88B 11.8M Shares | $ 3.88B 11.8M Shares | $129M 393K Shares | |
TLT
|
$ 914M 9.96M Shares | $ 6.29B 68.6M Shares | $ 7.21B 78.5M Shares | $ 35K 386 Shares | $ 3.75B 40.9M Shares | $ 3.75B 40.9M Shares | $3.46B 37.7M Shares | |
PFE
|
$ 913M 32.6M Shares | $ 3.87B 138M Shares | $ 4.78B 171M Shares | $ 140K 5.02K Shares | $ 5.45B 195M Shares | $ 5.45B 195M Shares | $-665M -23.8M Shares | |
PWR
|
$ 908M 3.57M Shares | $ 1.88B 7.38M Shares | $ 2.78B 11M Shares | $ 3.76M 14.8K Shares | $ 2.03B 7.99M Shares | $ 2.03B 8M Shares | $750M 2.95M Shares | |
RY
|
$ 898M 8.44M Shares | $ 2.36B 22.2M Shares | $ 3.26B 30.7M Shares | $ 3.81M 35.8K Shares | $ 1.72B 16.1M Shares | $ 1.72B 16.2M Shares | $1.54B 14.5M Shares | |
ROP
|
$ 891M 1.58M Shares | $ 1.87B 3.31M Shares | $ 2.76B 4.89M Shares | $ 51K 92 Shares | $ 1.53B 2.71M Shares | $ 1.53B 2.71M Shares | $1.23B 2.18M Shares | |
WDC
|
$ 891M 11.8M Shares | $ 3.23B 42.6M Shares | $ 4.12B 54.3M Shares | $ 0 0 Shares | $ 2.07B 27.3M Shares | $ 2.07B 27.3M Shares | $2.05B 27.1M Shares | |
IP
|
$ 890M 20.6M Shares | $ 1.91B 44.3M Shares | $ 2.8B 64.9M Shares | $ 3.15M 73.1K Shares | $ 975M 22.6M Shares | $ 979M 22.7M Shares | $1.82B 42.2M Shares | |
SRCL
|
$ 888M 15.3M Shares | $ 345M 5.94M Shares | $ 1.23B 21.2M Shares | $ 0 0 Shares | $ 1.4B 24.1M Shares | $ 1.4B 24.1M Shares | $-165M -2.84M Shares | |
INTC
|
$ 880M 28.4M Shares | $ 6.79B 219M Shares | $ 7.67B 248M Shares | $ 2.86M 92.2K Shares | $ 8.99B 290M Shares | $ 8.99B 290M Shares | $-1.32B -42.6M Shares | |
KLAC
|
$ 873M 1.06M Shares | $ 4.07B 4.94M Shares | $ 4.94B 5.99M Shares | $ 3.6M 4.36K Shares | $ 4.72B 5.72M Shares | $ 4.72B 5.73M Shares | $219M 265K Shares | |
NVO
|
$ 873M 6.11M Shares | $ 3.05B 21.4M Shares | $ 3.92B 27.5M Shares | $ 0 0 Shares | $ 1.88B 13.1M Shares | $ 1.88B 13.1M Shares | $2.05B 14.3M Shares | |
BXP
|
$ 870M 14.1M Shares | $ 481M 7.81M Shares | $ 1.35B 21.9M Shares | $ 0 0 Shares | $ 337M 5.47M Shares | $ 337M 5.47M Shares | $1.01B 16.5M Shares | |
EA
|
$ 851M 6.11M Shares | $ 1.9B 13.6M Shares | $ 2.75B 19.7M Shares | $ 544K 3.91K Shares | $ 2.06B 14.8M Shares | $ 2.06B 14.8M Shares | $685M 4.92M Shares | |
AMT
|
$ 849M 4.37M Shares | $ 4.49B 23.1M Shares | $ 5.34B 27.5M Shares | $ 977K 5.03K Shares | $ 4.07B 21M Shares | $ 4.07B 21M Shares | $1.26B 6.51M Shares | |
MRVL
|
$ 843M 12.1M Shares | $ 4.75B 67.9M Shares | $ 5.59B 80M Shares | $ 861K 12.3K Shares | $ 2.06B 29.4M Shares | $ 2.06B 29.4M Shares | $3.53B 50.6M Shares |