Top Companies Added as New Holdings by Institutions in Q3 2020
Ticker | Buy | Sell | Net Activity | |||||
---|---|---|---|---|---|---|---|---|
New Holding | Increment | Total | Sold Out | Reduction | Total | |||
DG
|
$ 502K 2.4K Shares | $ 153K 731 Shares | $ 655K 3.13K Shares | $ 118M 565K Shares | $ 268K 1.28K Shares | $ 119M 566K Shares | $-118M -563K Shares | |
MCK
|
$ 502K 3.37K Shares | $ 0 2 Shares | $ 502K 3.38K Shares | $ 166M 1.12M Shares | $ 673K 4.53K Shares | $ 167M 1.12M Shares | $-167M -1.12M Shares | |
FL
|
$ 501K 15.2K Shares | $ 1K 45 Shares | $ 502K 15.2K Shares | $ 15M 453K Shares | $ 696K 21.1K Shares | $ 15.6M 474K Shares | $-15.1M -459K Shares | |
CTG
|
$ 497K 100K Shares | $ 0 0 Shares | $ 497K 100K Shares | $ 71K 14.4K Shares | $ 0 0 Shares | $ 71K 14.4K Shares | $426K 85.6K Shares | |
AFIB
|
$ 496K 16.7K Shares | $ 0 0 Shares | $ 496K 16.7K Shares | — | $496K 16.7K Shares | |||
LSTR
|
$ 495K 3.95K Shares | $ 983K 7.84K Shares | $ 1.48M 11.8K Shares | $ 5.36M 42.7K Shares | $ 0 0 Shares | $ 5.36M 42.7K Shares | $-3.88M -30.9K Shares | |
FDL
|
$ 494K 19K Shares | $ 0 0 Shares | $ 494K 19K Shares | $ 2.09M 80.1K Shares | $ 415K 16K Shares | $ 2.5M 96K Shares | $-2.01M -77.1K Shares | |
HUBS
|
$ 494K 1.69K Shares | $ 0 0 Shares | $ 494K 1.69K Shares | $ 47.4M 162K Shares | $ 196K 672 Shares | $ 47.6M 163K Shares | $-47.1M -161K Shares | |
NEM
|
$ 493K 7.79K Shares | $ 66K 1.05K Shares | $ 560K 8.84K Shares | $ 66.8M 1.05M Shares | $ 25K 402 Shares | $ 66.8M 1.05M Shares | $-66.3M -1.04M Shares | |
ETJ
|
$ 491K 51.3K Shares | $ 13K 1.42K Shares | $ 504K 52.7K Shares | $ 0 0 Shares | $ 17K 1.86K Shares | $ 17K 1.86K Shares | $487K 50.9K Shares | |
SGEN
|
$ 489K 2.5K Shares | $ 0 0 Shares | $ 489K 2.5K Shares | — | $489K 2.5K Shares | |||
IWO
|
$ 489K 2.21K Shares | $ 15K 72 Shares | $ 505K 2.28K Shares | $ 5.1M 23K Shares | $ 145K 657 Shares | $ 5.24M 23.7K Shares | $-4.74M -21.4K Shares | |
PLMR
|
$ 488K 4.69K Shares | $ 0 0 Shares | $ 488K 4.69K Shares | $ 6.46M 62K Shares | $ 0 0 Shares | $ 6.46M 62K Shares | $-5.98M -57.3K Shares | |
IWR
|
$ 487K 8.5K Shares | $ 27K 483 Shares | $ 515K 8.98K Shares | $ 10.5M 182K Shares | $ 544K 9.5K Shares | $ 11M 192K Shares | $-10.5M -183K Shares | |
USB
|
$ 486K 13.6K Shares | $ 60K 1.7K Shares | $ 547K 15.3K Shares | $ 36.7M 1.02M Shares | $ 394K 11K Shares | $ 37.1M 1.03M Shares | $-36.5M -1.02M Shares | |
WYNN
|
$ 485K 6.77K Shares | $ 395K 5.51K Shares | $ 881K 12.3K Shares | $ 28.4M 395K Shares | $ 4.27M 59.5K Shares | $ 32.6M 455K Shares | $-31.8M -442K Shares | |
NICE
|
$ 485K 2.14K Shares | $ 87K 386 Shares | $ 573K 2.53K Shares | $ 17M 74.7K Shares | $ 0 0 Shares | $ 17M 74.7K Shares | $-16.4M -72.2K Shares | |
SPIB
|
$ 481K 13.1K Shares | $ 21K 596 Shares | $ 503K 13.7K Shares | $ 5.31M 144K Shares | $ 0 0 Shares | $ 5.31M 144K Shares | $-4.81M -131K Shares | |
CCJ
|
$ 481K 47.7K Shares | $ 0 0 Shares | $ 481K 47.7K Shares | $ 5.26M 521K Shares | $ 39K 3.95K Shares | $ 5.3M 525K Shares | $-4.82M -478K Shares | |
LTRX
|
$ 480K 100K Shares | $ 144K 30K Shares | $ 625K 130K Shares | $ 52K 10.8K Shares | $ 0 0 Shares | $ 52K 10.8K Shares | $573K 119K Shares | |
IEMG
|
$ 480K 9.09K Shares | $ 67K 1.29K Shares | $ 548K 10.4K Shares | $ 68.8M 1.3M Shares | $ 1.1M 20.9K Shares | $ 69.9M 1.32M Shares | $-69.4M -1.31M Shares | |
BRK-B
|
$ 479K 2.25K Shares | $ 47K 225 Shares | $ 527K 2.48K Shares | $ 287M 1.35M Shares | $ 13.4M 62.9K Shares | $ 300M 1.41M Shares | $-300M -1.41M Shares | |
CTLT
|
$ 477K 5.57K Shares | $ 7K 90 Shares | $ 484K 5.66K Shares | $ 39.4M 460K Shares | $ 74K 866 Shares | $ 39.5M 461K Shares | $-39M -456K Shares | |
ANGL
|
$ 475K 16K Shares | $ 8K 299 Shares | $ 484K 16.3K Shares | $ 6.59M 222K Shares | $ 237K 7.98K Shares | $ 6.83M 229K Shares | $-6.34M -213K Shares | |
LYB
|
$ 473K 6.72K Shares | $ 7.97M 113K Shares | $ 8.44M 120K Shares | $ 10M 142K Shares | $ 1.4M 19.8K Shares | $ 11.4M 162K Shares | $-2.95M -41.9K Shares | |
SBH
|
$ 473K 54.5K Shares | $ 0 0 Shares | $ 473K 54.5K Shares | $ 4.38M 504K Shares | $ 0 0 Shares | $ 4.38M 504K Shares | $-3.91M -449K Shares | |
CORT
|
$ 470K 27K Shares | $ 0 0 Shares | $ 470K 27K Shares | $ 7.95M 457K Shares | $ 0 0 Shares | $ 7.95M 457K Shares | $-7.48M -430K Shares | |
SCCO
|
$ 469K 10.4K Shares | $ 0 0 Shares | $ 469K 10.4K Shares | $ 29.4M 650K Shares | $ 55K 1.24K Shares | $ 29.5M 652K Shares | $-29M -641K Shares | |
KO
|
$ 469K 9.51K Shares | $ 5.43M 110K Shares | $ 5.9M 120K Shares | $ 32.8M 664K Shares | $ 1.05M 21.3K Shares | $ 33.8M 685K Shares | $-27.9M -566K Shares | |
FTCS
|
$ 467K 7.4K Shares | $ 0 0 Shares | $ 467K 7.4K Shares | $ 15.5M 246K Shares | $ 404K 6.4K Shares | $ 15.9M 252K Shares | $-15.5M -245K Shares | |
SBT
|
$ 466K 155K Shares | $ 0 0 Shares | $ 466K 155K Shares | $ 3.69M 1.22M Shares | $ 0 0 Shares | $ 3.69M 1.22M Shares | $-3.22M -1.07M Shares | |
GWW
|
$ 464K 1.3K Shares | $ 3.05M 8.54K Shares | $ 3.51M 9.85K Shares | $ 17.9M 50.2K Shares | $ 74K 210 Shares | $ 18M 50.5K Shares | $-14.5M -40.6K Shares | |
OTRK
|
$ 464K 18.6K Shares | $ 0 0 Shares | $ 464K 18.6K Shares | — | $464K 18.6K Shares | |||
MEOH
|
$ 454K 18.6K Shares | $ 0 0 Shares | $ 454K 18.6K Shares | $ 1.46M 59.7K Shares | $ 0 21 Shares | $ 1.46M 59.7K Shares | $-1M -41.1K Shares | |
DSGR
|
$ 454K 11.1K Shares | $ 0 0 Shares | $ 454K 11.1K Shares | $ 1.67M 40.6K Shares | $ 0 0 Shares | $ 1.67M 40.6K Shares | $-1.21M -29.5K Shares | |
CRL
|
$ 452K 2K Shares | $ 227K 1K Shares | $ 680K 3K Shares | $ 12.7M 56K Shares | $ 384K 1.7K Shares | $ 13.1M 57.7K Shares | $-12.4M -54.7K Shares | |
IP
|
$ 451K 11.7K Shares | $ 1K 46 Shares | $ 452K 11.8K Shares | $ 7.31M 190K Shares | $ 5.62M 146K Shares | $ 12.9M 337K Shares | $-12.5M -325K Shares | |
SCI
|
$ 451K 10.7K Shares | $ 0 0 Shares | $ 451K 10.7K Shares | $ 8.87M 210K Shares | $ 516K 12.2K Shares | $ 9.38M 222K Shares | $-8.93M -212K Shares | |
STOR
|
$ 450K 16.4K Shares | $ 251K 9.17K Shares | $ 702K 25.6K Shares | $ 8.05M 294K Shares | $ 3.8M 139K Shares | $ 11.9M 432K Shares | $-11.2M -407K Shares | |
GILD
|
$ 449K 7.11K Shares | $ 0 0 Shares | $ 449K 7.11K Shares | $ 140M 2.22M Shares | $ 2.2M 34.8K Shares | $ 143M 2.26M Shares | $-142M -2.25M Shares | |
BR
|
$ 448K 3.4K Shares | $ 456K 3.46K Shares | $ 905K 6.86K Shares | $ 160M 1.21M Shares | $ 15K 119 Shares | $ 160M 1.21M Shares | $-159M -1.2M Shares | |
ASPU
|
$ 448K 40.1K Shares | $ 0 0 Shares | $ 448K 40.1K Shares | $ 2.22M 199K Shares | $ 0 0 Shares | $ 2.22M 199K Shares | $-1.78M -159K Shares | |
SAIL
|
$ 446K 11.3K Shares | $ 0 0 Shares | $ 446K 11.3K Shares | $ 40M 1.01M Shares | $ 0 0 Shares | $ 40M 1.01M Shares | $-39.6M -1M Shares | |
VALE
|
$ 446K 42.2K Shares | $ 0 0 Shares | $ 446K 42.2K Shares | $ 17.5M 1.65M Shares | $ 586K 55.4K Shares | $ 18.1M 1.71M Shares | $-17.6M -1.67M Shares | |
IXP
|
$ 445K 6.75K Shares | $ 64K 984 Shares | $ 510K 7.73K Shares | $ 3.53M 53.5K Shares | $ 0 0 Shares | $ 3.53M 53.5K Shares | $-3.02M -45.8K Shares | |
AVLR
|
$ 444K 3.49K Shares | $ 17K 140 Shares | $ 462K 3.63K Shares | $ 16.6M 131K Shares | $ 0 0 Shares | $ 16.6M 131K Shares | $-16.2M -127K Shares | |
THG
|
$ 444K 4.77K Shares | $ 0 0 Shares | $ 444K 4.77K Shares | $ 108M 1.16M Shares | $ 27K 299 Shares | $ 108M 1.16M Shares | $-107M -1.15M Shares | |
COST
|
$ 444K 1.25K Shares | $ 42K 120 Shares | $ 487K 1.37K Shares | $ 3.22B 9.08M Shares | $ 137K 387 Shares | $ 3.22B 9.08M Shares | $-3.22B -9.08M Shares | |
PEP
|
$ 443K 3.2K Shares | $ 241K 1.75K Shares | $ 685K 4.95K Shares | $ 81.2M 586K Shares | $ 2.47M 17.9K Shares | $ 83.7M 604K Shares | $-83M -599K Shares | |
INTU
|
$ 442K 1.36K Shares | $ 0 0 Shares | $ 442K 1.36K Shares | $ 281M 861K Shares | $ 1.82M 5.59K Shares | $ 283M 866K Shares | $-282M -865K Shares |