Top Companies Added as New Holdings by Institutions in Q3 2020
Ticker | Buy | Sell | Net Activity | |||||
---|---|---|---|---|---|---|---|---|
New Holding | Increment | Total | Sold Out | Reduction | Total | |||
LBTYA
|
$ 0 0 Shares | $ 359K 17.1K Shares | $ 359K 17.1K Shares | $ 39.3M 1.87M Shares | $ 10K 500 Shares | $ 39.3M 1.87M Shares | $-38.9M -1.85M Shares | |
BILL
|
— | $ 53M 528K Shares | $ 499K 4.98K Shares | $ 53.5M 533K Shares | $-53.5M -533K Shares | |||
WPP
|
— | $ 14.6M 371K Shares | $ 0 0 Shares | $ 14.6M 371K Shares | $-14.6M -371K Shares | |||
AEM
|
$ 0 0 Shares | $ 23K 300 Shares | $ 23K 300 Shares | $ 9.45M 119K Shares | $ 663K 8.34K Shares | $ 10.1M 127K Shares | $-10.1M -127K Shares | |
GLPI
|
$ 0 0 Shares | $ 77K 2.1K Shares | $ 77K 2.1K Shares | $ 19.6M 530K Shares | $ 0 1 Shares | $ 19.6M 530K Shares | $-19.5M -528K Shares | |
ICL
|
$ 0 0 Shares | $ 0 49 Shares | $ 0 49 Shares | $ 154K 44.4K Shares | $ 0 130 Shares | $ 155K 44.5K Shares | $-155K -44.4K Shares | |
OVV
|
— | $ 1.44M 177K Shares | $ 2K 282 Shares | $ 1.44M 177K Shares | $-1.44M -177K Shares | |||
HAS
|
$ 0 4 Shares | $ 0 0 Shares | $ 0 4 Shares | $ 35.4M 428K Shares | $ 66K 800 Shares | $ 35.5M 429K Shares | $-35.5M -429K Shares | |
NMR
|
$ 0 0 Shares | $ 2K 551 Shares | $ 2K 551 Shares | $ 68K 15K Shares | $ 0 0 Shares | $ 68K 15K Shares | $-66K -14.5K Shares | |
SBNY
|
— | $ 562K 6.78K Shares | $ 0 0 Shares | $ 562K 6.78K Shares | $-562K -6.78K Shares | |||
ATLKY
|
— | $ 2K 193 Shares | $ 0 0 Shares | $ 2K 193 Shares | $-2K -193 Shares | |||
BLDR
|
— | $ 60.4M 1.85M Shares | $ 0 0 Shares | $ 60.4M 1.85M Shares | $-60.4M -1.85M Shares | |||
QGEN
|
— | $ 1.24B 23.7M Shares | $ 1K 26 Shares | $ 1.24B 23.7M Shares | $-1.24B -23.7M Shares | |||
AAP
|
$ 0 0 Shares | $ 14.9M 96.9K Shares | $ 14.9M 96.9K Shares | $ 30.6M 199K Shares | $ 5.63M 36.7K Shares | $ 36.2M 236K Shares | $-21.4M -139K Shares | |
UTHR
|
— | $ 8M 79.2K Shares | $ 0 0 Shares | $ 8M 79.2K Shares | $-8M -79.2K Shares | |||
EQH
|
— | $ 3.41M 187K Shares | $ 9K 497 Shares | $ 3.42M 188K Shares | $-3.42M -188K Shares | |||
SNA
|
— | $ 2.42M 16.5K Shares | $ 19K 135 Shares | $ 2.44M 16.6K Shares | $-2.44M -16.6K Shares | |||
WRK
|
— | $ 24.2M 695K Shares | $ 87K 2.52K Shares | $ 24.2M 698K Shares | $-24.2M -698K Shares | |||
LW
|
$ 0 0 Shares | $ 276K 4.18K Shares | $ 276K 4.18K Shares | $ 99.9M 1.51M Shares | $ 1.08M 16.3K Shares | $ 101M 1.52M Shares | $-101M -1.52M Shares | |
BILI
|
— | $ 109M 2.61M Shares | $ 0 0 Shares | $ 109M 2.61M Shares | $-109M -2.61M Shares | |||
ACH
|
$ 0 33 Shares | $ 0 0 Shares | $ 0 33 Shares | $ 110K 21.2K Shares | $ 0 0 Shares | $ 110K 21.2K Shares | $-110K -21.2K Shares | |
GL
|
$ 0 0 Shares | $ 29K 366 Shares | $ 29K 366 Shares | $ 27.3M 342K Shares | $ 0 3 Shares | $ 27.3M 342K Shares | $-27.3M -341K Shares | |
ESLT
|
— | $ 2.49M 20.7K Shares | $ 0 0 Shares | $ 2.49M 20.7K Shares | $-2.49M -20.7K Shares | |||
AER
|
— | $ 9.67M 384K Shares | $ 390K 15.5K Shares | $ 10.1M 399K Shares | $-10.1M -399K Shares | |||
JHX
|
— | $ 0 34 Shares | $ 0 12 Shares | $ 1K 46 Shares | $-1K -46 Shares | |||
PCTY
|
$ 0 0 Shares | $ 22K 140 Shares | $ 22K 140 Shares | $ 24.6M 152K Shares | $ 215K 1.34K Shares | $ 24.8M 154K Shares | $-24.8M -154K Shares | |
CMA
|
— | $ 39.2M 1.03M Shares | $ 270K 7.08K Shares | $ 39.5M 1.03M Shares | $-39.5M -1.03M Shares | |||
BAP
|
$ 0 0 Shares | $ 24K 200 Shares | $ 24K 200 Shares | $ 39.5M 319K Shares | $ 2K 20 Shares | $ 39.5M 319K Shares | $-39.5M -319K Shares | |
USO
|
$ 0 0 Shares | $ 209K 7.4K Shares | $ 209K 7.4K Shares | $ 14.1M 497K Shares | $ 0 0 Shares | $ 14.1M 497K Shares | $-13.8M -489K Shares | |
BEP
|
— | $ 6.97M 199K Shares | $ 15K 443 Shares | $ 6.99M 200K Shares | $-6.99M -200K Shares | |||
BRKR
|
— | $ 38.1M 959K Shares | $ 0 0 Shares | $ 38.1M 959K Shares | $-38.1M -959K Shares | |||
CLVT
|
$ 0 0 Shares | $ 552K 17.8K Shares | $ 552K 17.8K Shares | $ 17.3M 558K Shares | $ 69K 2.24K Shares | $ 17.4M 561K Shares | $-16.8M -543K Shares | |
CUBE
|
— | $ 10.4M 321K Shares | $ 153K 4.75K Shares | $ 10.5M 326K Shares | $-10.5M -326K Shares | |||
BHVN
|
— | $ 18.5M 285K Shares | $ 0 0 Shares | $ 18.5M 285K Shares | $-18.5M -285K Shares | |||
NRG
|
$ 0 0 Shares | $ 7K 240 Shares | $ 7K 240 Shares | $ 37.6M 1.22M Shares | $ 491K 16K Shares | $ 38.1M 1.24M Shares | $-38.1M -1.24M Shares | |
CUK
|
$ 0 0 Shares | $ 0 11 Shares | $ 0 11 Shares | $ 1.9M 147K Shares | $ 0 0 Shares | $ 1.9M 147K Shares | $-1.9M -147K Shares | |
LSI
|
— | $ 8.48M 121K Shares | $ 0 0 Shares | $ 8.48M 121K Shares | $-8.48M -121K Shares | |||
GME
|
$ 0 124 Shares | $ 853K 335K Shares | $ 853K 335K Shares | $ 3.59M 1.41M Shares | $ 0 0 Shares | $ 3.59M 1.41M Shares | $-2.74M -1.07M Shares | |
UHAL
|
— | $ 8.19M 23K Shares | $ 0 0 Shares | $ 8.19M 23K Shares | $-8.19M -23K Shares | |||
FFIV
|
$ 0 0 Shares | $ 0 1 Shares | $ 0 1 Shares | $ 35.8M 291K Shares | $ 6.61M 53.8K Shares | $ 42.4M 345K Shares | $-42.4M -345K Shares | |
FTNT
|
— | $ 4.57M 194K Shares | $ 963K 40.9K Shares | $ 5.53M 235K Shares | $-5.53M -235K Shares | |||
NWSA
|
— | $ 29.6M 2.11M Shares | $ 0 0 Shares | $ 29.6M 2.11M Shares | $-29.6M -2.11M Shares | |||
RDY
|
— | $ 3.11M 44.7K Shares | $ 1.53M 22K Shares | $ 4.64M 66.7K Shares | $-4.64M -66.7K Shares | |||
BURL
|
$ 0 0 Shares | $ 144K 702 Shares | $ 144K 702 Shares | $ 87.6M 425K Shares | $ 284K 1.38K Shares | $ 87.9M 426K Shares | $-87.7M -426K Shares | |
BCH
|
— | $ 5.97M 395K Shares | $ 0 0 Shares | $ 5.97M 395K Shares | $-5.97M -395K Shares | |||
JLL
|
$ 0 8 Shares | $ 0 0 Shares | $ 0 8 Shares | $ 75.7M 791K Shares | $ 1K 20 Shares | $ 75.7M 791K Shares | $-75.7M -791K Shares | |
AEG
|
$ 0 0 Shares | $ 2K 1.16K Shares | $ 2K 1.16K Shares | $ 432K 169K Shares | $ 8K 3.24K Shares | $ 440K 172K Shares | $-438K -171K Shares | |
ZEN
|
$ 0 0 Shares | $ 2K 23 Shares | $ 2K 23 Shares | $ 265M 2.58M Shares | $ 4K 41 Shares | $ 265M 2.58M Shares | $-265M -2.58M Shares | |
REXR
|
— | $ 32.5M 709K Shares | $ 266K 5.82K Shares | $ 32.7M 715K Shares | $-32.7M -715K Shares | |||
ZG
|
— | $ 543M 5.35M Shares | $ 0 0 Shares | $ 543M 5.35M Shares | $-543M -5.35M Shares |