Top Companies Added as New Holdings by Institutions in Q3 2023
Ticker | Buy | Sell | Net Activity | |||||
---|---|---|---|---|---|---|---|---|
New Holding | Increment | Total | Sold Out | Reduction | Total | |||
SE
|
$ 852M 19.4M Shares | $ 1.84B 41.8M Shares | $ 2.69B 61.2M Shares | $ 160M 3.63M Shares | $ 2.14B 48.8M Shares | $ 2.3B 52.4M Shares | $386M 8.78M Shares | |
TTD
|
$ 848M 10.8M Shares | $ 1.15B 14.8M Shares | $ 2B 25.6M Shares | $ 201M 2.57M Shares | $ 1.68B 21.5M Shares | $ 1.88B 24.1M Shares | $122M 1.56M Shares | |
ALL
|
$ 847M 7.6M Shares | $ 1.56B 14M Shares | $ 2.41B 21.6M Shares | $ 132M 1.19M Shares | $ 1.78B 16M Shares | $ 1.91B 17.1M Shares | $500M 4.49M Shares | |
ALB
|
$ 845M 4.97M Shares | $ 1.16B 6.82M Shares | $ 2B 11.8M Shares | $ 98.4M 579K Shares | $ 855M 5.03M Shares | $ 953M 5.6M Shares | $1.05B 6.18M Shares | |
CSL
|
$ 842M 3.25M Shares | $ 436M 1.68M Shares | $ 1.28B 4.93M Shares | $ 305M 1.17M Shares | $ 739M 2.85M Shares | $ 1.04B 4.02M Shares | $235M 906K Shares | |
AER
|
$ 842M 13.4M Shares | $ 1.58B 25.3M Shares | $ 2.43B 38.7M Shares | $ 71M 1.13M Shares | $ 3.17B 50.6M Shares | $ 3.24B 51.8M Shares | $-818M -13.1M Shares | |
TDG
|
$ 839M 995K Shares | $ 4.29B 5.09M Shares | $ 5.13B 6.08M Shares | $ 243M 288K Shares | $ 4.45B 5.27M Shares | $ 4.69B 5.56M Shares | $440M 522K Shares | |
CNXC
|
$ 837M 10.4M Shares | $ 296M 3.7M Shares | $ 1.13B 14.1M Shares | $ 30.9M 386K Shares | $ 277M 3.46M Shares | $ 308M 3.84M Shares | $825M 10.3M Shares | |
TWNK
|
$ 835M 25.1M Shares | $ 209M 6.27M Shares | $ 1.04B 31.3M Shares | $ 36M 1.08M Shares | $ 792M 23.8M Shares | $ 828M 24.9M Shares | $216M 6.48M Shares | |
TFC
|
$ 833M 29.1M Shares | $ 1.49B 52.2M Shares | $ 2.33B 81.3M Shares | $ 353M 12.3M Shares | $ 1.96B 68.4M Shares | $ 2.31B 80.8M Shares | $15.8M 552K Shares | |
AMH
|
$ 829M 24.6M Shares | $ 683M 20.3M Shares | $ 1.51B 44.9M Shares | $ 692M 20.5M Shares | $ 794M 23.6M Shares | $ 1.49B 44.1M Shares | $26.1M 774K Shares | |
HSY
|
$ 828M 4.14M Shares | $ 1.52B 7.61M Shares | $ 2.35B 11.7M Shares | $ 271M 1.36M Shares | $ 1.79B 8.96M Shares | $ 2.06B 10.3M Shares | $286M 1.43M Shares | |
GM
|
$ 827M 25.1M Shares | $ 2.47B 74.9M Shares | $ 3.3B 100M Shares | $ 448M 13.6M Shares | $ 1.58B 48M Shares | $ 2.03B 61.5M Shares | $1.27B 38.5M Shares | |
MGM
|
$ 827M 22.5M Shares | $ 482M 13.1M Shares | $ 1.31B 35.6M Shares | $ 138M 3.74M Shares | $ 1.15B 31.3M Shares | $ 1.29B 35.1M Shares | $18.4M 502K Shares | |
DKNG
|
$ 826M 28.1M Shares | $ 766M 26M Shares | $ 1.59B 54.1M Shares | $ 91.4M 3.1M Shares | $ 871M 29.6M Shares | $ 962M 32.7M Shares | $630M 21.4M Shares | |
NSC
|
$ 825M 4.19M Shares | $ 1.67B 8.5M Shares | $ 2.5B 12.7M Shares | $ 400M 2.03M Shares | $ 1.74B 8.82M Shares | $ 2.14B 10.9M Shares | $360M 1.83M Shares | |
AME
|
$ 821M 5.56M Shares | $ 1.15B 7.76M Shares | $ 1.97B 13.3M Shares | $ 570M 3.86M Shares | $ 1.12B 7.55M Shares | $ 1.69B 11.4M Shares | $283M 1.91M Shares | |
ESGU
|
$ 813M 8.66M Shares | $ 210M 2.24M Shares | $ 1.02B 10.9M Shares | $ 21.9M 233K Shares | $ 2.01B 21.4M Shares | $ 2.03B 21.6M Shares | $-1.01B -10.7M Shares | |
BMRN
|
$ 812M 9.18M Shares | $ 1.08B 12.2M Shares | $ 1.89B 21.4M Shares | $ 230M 2.6M Shares | $ 790M 8.93M Shares | $ 1.02B 11.5M Shares | $871M 9.84M Shares | |
VEEV
|
$ 811M 3.99M Shares | $ 1.18B 5.82M Shares | $ 1.99B 9.8M Shares | $ 301M 1.48M Shares | $ 1.24B 6.09M Shares | $ 1.54B 7.57M Shares | $455M 2.24M Shares | |
AVTR
|
$ 809M 38.4M Shares | $ 849M 40.3M Shares | $ 1.66B 78.6M Shares | $ 115M 5.44M Shares | $ 766M 36.3M Shares | $ 880M 41.8M Shares | $777M 36.9M Shares | |
TU
|
$ 806M 49.4M Shares | $ 305M 18.7M Shares | $ 1.11B 68M Shares | $ 71M 4.35M Shares | $ 564M 34.5M Shares | $ 635M 38.8M Shares | $477M 29.2M Shares | |
CDW
|
$ 805M 3.99M Shares | $ 646M 3.2M Shares | $ 1.45B 7.19M Shares | $ 91.4M 453K Shares | $ 845M 4.19M Shares | $ 936M 4.64M Shares | $515M 2.55M Shares | |
YUMC
|
$ 804M 14.4M Shares | $ 789M 14.2M Shares | $ 1.59B 28.6M Shares | $ 291M 5.22M Shares | $ 1.01B 18.1M Shares | $ 1.3B 23.3M Shares | $293M 5.26M Shares | |
SLF
|
$ 801M 16.4M Shares | $ 329M 6.74M Shares | $ 1.13B 23.1M Shares | $ 288M 5.9M Shares | $ 332M 6.8M Shares | $ 620M 12.7M Shares | $510M 10.4M Shares | |
WRK
|
$ 798M 22.3M Shares | $ 498M 13.9M Shares | $ 1.3B 36.2M Shares | $ 212M 5.93M Shares | $ 757M 21.1M Shares | $ 969M 27.1M Shares | $328M 9.15M Shares | |
BK
|
$ 797M 18.7M Shares | $ 1.03B 24.1M Shares | $ 1.83B 42.8M Shares | $ 457M 10.7M Shares | $ 1.05B 24.5M Shares | $ 1.5B 35.2M Shares | $323M 7.58M Shares | |
O
|
$ 794M 15.9M Shares | $ 1.26B 25.3M Shares | $ 2.06B 41.2M Shares | $ 306M 6.13M Shares | $ 795M 15.9M Shares | $ 1.1B 22M Shares | $955M 19.1M Shares | |
BSV
|
$ 794M 10.6M Shares | $ 840M 11.2M Shares | $ 1.63B 21.7M Shares | $ 327M 4.34M Shares | $ 4.79B 63.7M Shares | $ 5.12B 68.1M Shares | $-3.48B -46.3M Shares | |
CTSH
|
$ 793M 11.7M Shares | $ 1.49B 22M Shares | $ 2.28B 33.7M Shares | $ 379M 5.6M Shares | $ 2.18B 32.1M Shares | $ 2.56B 37.7M Shares | $-275M -4.06M Shares | |
TTEK
|
$ 792M 5.21M Shares | $ 304M 2M Shares | $ 1.1B 7.21M Shares | $ 125M 822K Shares | $ 332M 2.18M Shares | $ 457M 3.01M Shares | $639M 4.2M Shares | |
DG
|
$ 791M 7.48M Shares | $ 2.82B 26.6M Shares | $ 3.61B 34.1M Shares | $ 245M 2.31M Shares | $ 2.46B 23.3M Shares | $ 2.71B 25.6M Shares | $902M 8.53M Shares | |
QUAL
|
$ 785M 5.95M Shares | $ 1.17B 8.86M Shares | $ 1.95B 14.8M Shares | $ 0 0 Shares | $ 2.51B 19M Shares | $ 2.51B 19M Shares | $-558M -4.24M Shares | |
FRT
|
$ 781M 8.62M Shares | $ 176M 1.94M Shares | $ 957M 10.6M Shares | $ 654M 7.21M Shares | $ 384M 4.24M Shares | $ 1.04B 11.5M Shares | $-81.2M -895K Shares | |
EFV
|
$ 780M 15.9M Shares | $ 2.29B 46.8M Shares | $ 3.07B 62.8M Shares | $ 11.9M 244K Shares | $ 642M 13.1M Shares | $ 654M 13.4M Shares | $2.42B 49.4M Shares | |
COLD
|
$ 778M 25.6M Shares | $ 413M 13.6M Shares | $ 1.19B 39.2M Shares | $ 471M 15.5M Shares | $ 315M 10.4M Shares | $ 786M 25.9M Shares | $405M 13.3M Shares | |
SYY
|
$ 776M 11.7M Shares | $ 1.19B 17.9M Shares | $ 1.96B 29.7M Shares | $ 324M 4.91M Shares | $ 1.46B 22.1M Shares | $ 1.78B 27M Shares | $177M 2.68M Shares | |
VFC
|
$ 773M 43.7M Shares | $ 252M 14.3M Shares | $ 1.03B 58M Shares | $ 51.6M 2.92M Shares | $ 283M 16M Shares | $ 335M 18.9M Shares | $691M 39.1M Shares | |
CPRT
|
$ 770M 17.9M Shares | $ 15.2B 354M Shares | $ 16B 371M Shares | $ 88.8M 2.06M Shares | $ 74.7M 1.73M Shares | $ 164M 3.79M Shares | $15.8B 368M Shares | |
ADM
|
$ 766M 10.2M Shares | $ 1.59B 21M Shares | $ 2.35B 31.2M Shares | $ 402M 5.32M Shares | $ 1.85B 24.5M Shares | $ 2.25B 29.9M Shares | $101M 1.34M Shares | |
VTI
|
$ 765M 3.6M Shares | $ 3.24B 15.3M Shares | $ 4.01B 18.9M Shares | $ 89.8M 423K Shares | $ 2.72B 12.8M Shares | $ 2.81B 13.2M Shares | $1.19B 5.62M Shares | |
DOX
|
$ 764M 9.04M Shares | $ 399M 4.73M Shares | $ 1.16B 13.8M Shares | $ 97.7M 1.16M Shares | $ 603M 7.13M Shares | $ 700M 8.29M Shares | $463M 5.48M Shares | |
MBLY
|
$ 762M 18.3M Shares | $ 355M 8.55M Shares | $ 1.12B 26.9M Shares | $ 0 0 Shares | $ 604M 14.5M Shares | $ 604M 14.5M Shares | $513M 12.3M Shares | |
CE
|
$ 761M 6.06M Shares | $ 1.56B 12.4M Shares | $ 2.32B 18.5M Shares | $ 38.9M 310K Shares | $ 609M 4.85M Shares | $ 648M 5.16M Shares | $1.67B 13.3M Shares | |
MNST
|
$ 758M 14.3M Shares | $ 1.43B 27M Shares | $ 2.19B 41.3M Shares | $ 188M 3.55M Shares | $ 1.72B 32.4M Shares | $ 1.91B 36M Shares | $283M 5.35M Shares | |
HAL
|
$ 753M 18.6M Shares | $ 2.29B 56.5M Shares | $ 3.04B 75.1M Shares | $ 425M 10.5M Shares | $ 1.84B 45.5M Shares | $ 2.27B 56M Shares | $773M 19.1M Shares | |
IWR
|
$ 752M 10.9M Shares | $ 825M 11.9M Shares | $ 1.58B 22.8M Shares | $ 10.7M 154K Shares | $ 736M 10.6M Shares | $ 746M 10.8M Shares | $831M 12M Shares | |
L
|
$ 749M 11.8M Shares | $ 301M 4.76M Shares | $ 1.05B 16.6M Shares | $ 447M 7.05M Shares | $ 412M 6.5M Shares | $ 858M 13.6M Shares | $192M 3.03M Shares | |
ROL
|
$ 748M 20M Shares | $ 1.14B 30.6M Shares | $ 1.89B 50.6M Shares | $ 84.4M 2.26M Shares | $ 212M 5.67M Shares | $ 296M 7.93M Shares | $1.59B 42.7M Shares | |
LNG
|
$ 745M 4.49M Shares | $ 1.6B 9.64M Shares | $ 2.35B 14.1M Shares | $ 343M 2.07M Shares | $ 1.89B 11.4M Shares | $ 2.24B 13.5M Shares | $109M 657K Shares |