Top Companies Added as New Holdings by Institutions in Q2 2025
Ticker | Buy | Sell | Net Activity | |||||
---|---|---|---|---|---|---|---|---|
New Holding | Increment | Total | Sold Out | Reduction | Total | |||
NVDA
|
$ 57.6B 364M Shares | $ 151B 956M Shares | $ 209B 1.32B Shares | $ 274M 1.73M Shares | $ 105B 664M Shares | $ 105B 666M Shares | $103B 655M Shares | |
MSFT
|
$ 55.3B 111M Shares | $ 514B 1.03B Shares | $ 570B 1.15B Shares | $ 101M 203K Shares | $ 121B 243M Shares | $ 121B 244M Shares | $449B 902M Shares | |
AAPL
|
$ 42.1B 205M Shares | $ 109B 530M Shares | $ 151B 735M Shares | $ 93.1M 454K Shares | $ 90.1B 439M Shares | $ 90.2B 440M Shares | $60.5B 295M Shares | |
AMZN
|
$ 32.9B 150M Shares | $ 91B 415M Shares | $ 124B 564M Shares | $ 56.1M 255K Shares | $ 64.8B 295M Shares | $ 64.9B 296M Shares | $59B 269M Shares | |
META
|
$ 26.2B 35.5M Shares | $ 86.9B 118M Shares | $ 113B 153M Shares | $ 0 0 Shares | $ 75.4B 102M Shares | $ 75.4B 102M Shares | $37.7B 51.1M Shares | |
GOOGL
|
$ 24.9B 141M Shares | $ 32.9B 187M Shares | $ 57.8B 328M Shares | $ 72.9M 414K Shares | $ 26.8B 152M Shares | $ 26.9B 153M Shares | $30.9B 175M Shares | |
AVGO
|
$ 22.4B 81.4M Shares | $ 32.3B 117M Shares | $ 54.8B 199M Shares | $ 48.8M 177K Shares | $ 28B 102M Shares | $ 28.1B 102M Shares | $26.7B 96.8M Shares | |
MA
|
$ 19.6B 34.9M Shares | $ 18.6B 33M Shares | $ 38.2B 67.9M Shares | $ 280K 499 Shares | $ 13.7B 24.3M Shares | $ 13.7B 24.3M Shares | $24.5B 43.6M Shares | |
JPM
|
$ 13B 44.7M Shares | $ 38.7B 133M Shares | $ 51.6B 178M Shares | $ 65M 224K Shares | $ 35.6B 123M Shares | $ 35.6B 123M Shares | $16B 55.2M Shares | |
TSLA
|
$ 12.9B 40.6M Shares | $ 24.2B 76.3M Shares | $ 37.1B 117M Shares | $ 0 0 Shares | $ 16B 50.2M Shares | $ 16B 50.2M Shares | $21.2B 66.6M Shares | |
LLY
|
$ 11.1B 14.2M Shares | $ 26.6B 34.1M Shares | $ 37.6B 48.3M Shares | $ 276K 355 Shares | $ 56.5B 72.4M Shares | $ 56.5B 72.4M Shares | $-18.8B -24.2M Shares | |
UNH
|
$ 9.68B 31M Shares | $ 16.8B 53.7M Shares | $ 26.4B 84.8M Shares | $ 893K 2.87K Shares | $ 27B 86.4M Shares | $ 27B 86.4M Shares | $-505M -1.62M Shares | |
NFLX
|
$ 9.48B 7.08M Shares | $ 23.6B 17.7M Shares | $ 33.1B 24.7M Shares | $ 5.08M 3.79K Shares | $ 19.9B 14.8M Shares | $ 19.9B 14.8M Shares | $13.2B 9.89M Shares | |
ORCL
|
$ 8.95B 41M Shares | $ 13.6B 62M Shares | $ 22.5B 103M Shares | $ 0 0 Shares | $ 13.1B 60M Shares | $ 13.1B 60M Shares | $9.38B 42.9M Shares | |
DIS
|
$ 8.72B 70.3M Shares | $ 6.62B 53.4M Shares | $ 15.3B 124M Shares | $ 11K 96 Shares | $ 7.35B 59.3M Shares | $ 7.35B 59.3M Shares | $7.99B 64.4M Shares | |
SPY
|
$ 8.54B 13.8M Shares | $ 74.1B 120M Shares | $ 82.7B 134M Shares | $ 104M 168K Shares | $ 47.9B 77.5M Shares | $ 48B 77.6M Shares | $34.7B 56.2M Shares | |
V
|
$ 8.42B 23.7M Shares | $ 13.3B 37.5M Shares | $ 21.7B 61.2M Shares | $ 0 0 Shares | $ 16.2B 45.7M Shares | $ 16.2B 45.7M Shares | $5.5B 15.5M Shares | |
T
|
$ 8.27B 286M Shares | $ 5.97B 206M Shares | $ 14.2B 492M Shares | $ 27.9M 963K Shares | $ 4.16B 144M Shares | $ 4.19B 145M Shares | $10B 347M Shares | |
XOM
|
$ 7.66B 71M Shares | $ 5.37B 49.8M Shares | $ 13B 121M Shares | $ 23.9M 222K Shares | $ 7.16B 66.4M Shares | $ 7.18B 66.6M Shares | $5.85B 54.3M Shares | |
PLTR
|
$ 7.2B 52.8M Shares | $ 12.5B 91.6M Shares | $ 19.7B 144M Shares | $ 19M 139K Shares | $ 9.79B 71.8M Shares | $ 9.81B 71.9M Shares | $9.88B 72.5M Shares | |
NOC
|
$ 7.1B 14.2M Shares | $ 3.58B 7.17M Shares | $ 10.7B 21.4M Shares | $ 699K 1.4K Shares | $ 2.68B 5.36M Shares | $ 2.68B 5.36M Shares | $8.01B 16M Shares | |
WMT
|
$ 7.07B 72.3M Shares | $ 18.8B 192M Shares | $ 25.9B 264M Shares | $ 0 0 Shares | $ 18.2B 186M Shares | $ 18.2B 186M Shares | $7.67B 78.5M Shares | |
SNOW
|
$ 6.86B 30.6M Shares | $ 3.95B 17.6M Shares | $ 10.8B 48.3M Shares | $ 0 0 Shares | $ 3.15B 14.1M Shares | $ 3.15B 14.1M Shares | $7.66B 34.2M Shares | |
EMRAF
|
$ 6.8B 148M Shares | $ 0 0 Shares | $ 6.8B 148M Shares | $ 0 0 Shares | $ 43K 945 Shares | $ 43K 945 Shares | $6.8B 148M Shares | |
MRK
|
$ 6.73B 85M Shares | $ 6.36B 80.4M Shares | $ 13.1B 165M Shares | $ 99.8M 1.26M Shares | $ 7.18B 90.6M Shares | $ 7.27B 91.9M Shares | $5.81B 73.4M Shares | |
INTU
|
$ 6.68B 8.48M Shares | $ 8.58B 10.9M Shares | $ 15.3B 19.4M Shares | $ 21K 27 Shares | $ 8.2B 10.4M Shares | $ 8.2B 10.4M Shares | $7.05B 8.96M Shares | |
COF
|
$ 6.67B 31.4M Shares | $ 55.6B 261M Shares | $ 62.3B 293M Shares | $ 0 0 Shares | $ 27.2B 128M Shares | $ 27.2B 128M Shares | $35B 165M Shares | |
BAC
|
$ 6.66B 141M Shares | $ 8.63B 182M Shares | $ 15.3B 323M Shares | $ 24.5M 518K Shares | $ 10.4B 219M Shares | $ 10.4B 220M Shares | $4.9B 103M Shares | |
TYL
|
$ 6.66B 11.2M Shares | $ 850M 1.43M Shares | $ 7.51B 12.7M Shares | $ 0 0 Shares | $ 1.03B 1.73M Shares | $ 1.03B 1.73M Shares | $6.48B 10.9M Shares | |
COST
|
$ 6.62B 6.69M Shares | $ 12.5B 12.6M Shares | $ 19.1B 19.3M Shares | $ 0 0 Shares | $ 9.79B 9.89M Shares | $ 9.79B 9.89M Shares | $9.31B 9.4M Shares | |
GOOG
|
$ 6.47B 36.5M Shares | $ 41.4B 233M Shares | $ 47.8B 270M Shares | $ 50K 287 Shares | $ 43.1B 243M Shares | $ 43.1B 243M Shares | $4.7B 26.5M Shares | |
HD
|
$ 6.46B 17.6M Shares | $ 13.9B 37.8M Shares | $ 20.3B 55.4M Shares | $ 89.1M 243K Shares | $ 6.77B 18.5M Shares | $ 6.86B 18.7M Shares | $13.5B 36.7M Shares | |
JNJ
|
$ 6.38B 41.8M Shares | $ 8.14B 53.3M Shares | $ 14.5B 95.1M Shares | $ 66M 432K Shares | $ 7.22B 47.2M Shares | $ 7.28B 47.7M Shares | $7.24B 47.4M Shares | |
PG
|
$ 6.17B 38.7M Shares | $ 22.3B 140M Shares | $ 28.5B 179M Shares | $ 42.5M 267K Shares | $ 19.6B 123M Shares | $ 19.7B 124M Shares | $8.77B 55M Shares | |
ABBV
|
$ 6.13B 33M Shares | $ 11.4B 61.5M Shares | $ 17.5B 94.5M Shares | $ 0 0 Shares | $ 10.5B 56.8M Shares | $ 10.5B 56.8M Shares | $7B 37.7M Shares | |
AMD
|
$ 6.08B 42.8M Shares | $ 10.9B 76.6M Shares | $ 16.9B 119M Shares | $ 6.45M 45.4K Shares | $ 8.8B 62M Shares | $ 8.81B 62.1M Shares | $8.14B 57.4M Shares | |
ACN
|
$ 5.83B 19.5M Shares | $ 7.39B 24.7M Shares | $ 13.2B 44.3M Shares | $ 232K 777 Shares | $ 5.37B 18M Shares | $ 5.37B 18M Shares | $7.86B 26.3M Shares | |
CSCO
|
$ 5.61B 80.9M Shares | $ 9.11B 131M Shares | $ 14.7B 212M Shares | $ 56M 807K Shares | $ 9.45B 136M Shares | $ 9.51B 137M Shares | $5.21B 75.2M Shares | |
MCD
|
$ 5.57B 19M Shares | $ 7.82B 26.8M Shares | $ 13.4B 45.8M Shares | $ 383K 1.31K Shares | $ 7.77B 26.6M Shares | $ 7.77B 26.6M Shares | $5.62B 19.2M Shares | |
WELL
|
$ 5.47B 35.6M Shares | $ 3.91B 25.4M Shares | $ 9.38B 61M Shares | $ 0 0 Shares | $ 2.94B 19.1M Shares | $ 2.94B 19.1M Shares | $6.44B 41.9M Shares | |
BRK-B
|
$ 5.39B 11.1M Shares | $ 37.8B 77.8M Shares | $ 43.2B 88.9M Shares | $ 0 0 Shares | $ 31.9B 65.6M Shares | $ 31.9B 65.6M Shares | $11.3B 23.3M Shares | |
UBS
|
$ 5.06B 150M Shares | $ 1.74B 51.4M Shares | $ 6.8B 201M Shares | $ 0 0 Shares | $ 4.33B 128M Shares | $ 4.33B 128M Shares | $2.47B 73.2M Shares | |
APH
|
$ 4.8B 48.6M Shares | $ 5.82B 58.9M Shares | $ 10.6B 107M Shares | $ 0 0 Shares | $ 6.02B 60.9M Shares | $ 6.02B 60.9M Shares | $4.6B 46.6M Shares | |
AMAT
|
$ 4.78B 26.1M Shares | $ 7.8B 42.6M Shares | $ 12.6B 68.7M Shares | $ 2K 14 Shares | $ 8.59B 46.9M Shares | $ 8.59B 46.9M Shares | $3.99B 21.8M Shares | |
UBER
|
$ 4.71B 50.5M Shares | $ 11.6B 124M Shares | $ 16.3B 175M Shares | $ 1.87M 20K Shares | $ 10.9B 117M Shares | $ 10.9B 117M Shares | $5.34B 57.3M Shares | |
WFC
|
$ 4.52B 56.4M Shares | $ 83.1B 1.04B Shares | $ 87.7B 1.09B Shares | $ 55.8M 697K Shares | $ 84.2B 1.05B Shares | $ 84.3B 1.05B Shares | $3.38B 42.1M Shares | |
KO
|
$ 4.5B 63.6M Shares | $ 7.91B 112M Shares | $ 12.4B 175M Shares | $ 37.7M 532K Shares | $ 6.27B 88.7M Shares | $ 6.31B 89.2M Shares | $6.1B 86.3M Shares | |
TMO
|
$ 4.42B 10.9M Shares | $ 9.76B 24.1M Shares | $ 14.2B 35M Shares | $ 20K 50 Shares | $ 9.75B 24.1M Shares | $ 9.75B 24.1M Shares | $4.43B 10.9M Shares | |
MSTR
|
$ 4.42B 10.9M Shares | $ 5.92B 14.6M Shares | $ 10.3B 25.6M Shares | $ 0 0 Shares | $ 3.49B 8.63M Shares | $ 3.49B 8.63M Shares | $6.85B 16.9M Shares | |
GE
|
$ 4.33B 16.8M Shares | $ 11.2B 43.6M Shares | $ 15.6B 60.4M Shares | $ 34K 134 Shares | $ 8.14B 31.6M Shares | $ 8.14B 31.6M Shares | $7.41B 28.8M Shares |