Top Companies Added as New Holdings by Institutions in Q4 2020
Ticker | Buy | Sell | Net Activity | |||||
---|---|---|---|---|---|---|---|---|
New Holding | Increment | Total | Sold Out | Reduction | Total | |||
AYI
|
$ 2.88M 23.8K Shares | $ 60K 502 Shares | $ 2.95M 24.3K Shares | $ 20.3M 167K Shares | $ 437K 3.61K Shares | $ 20.7M 171K Shares | $-17.8M -147K Shares | |
BXP
|
$ 2.88M 30.4K Shares | $ 2.79M 29.6K Shares | $ 5.67M 60K Shares | $ 327M 3.45M Shares | $ 477K 5.06K Shares | $ 327M 3.46M Shares | $-321M -3.4M Shares | |
GWX
|
$ 2.86M 80.8K Shares | $ 0 0 Shares | $ 2.86M 80.8K Shares | $ 1.99M 56.2K Shares | $ 16K 468 Shares | $ 2.01M 56.7K Shares | $855K 24.2K Shares | |
COHR
|
$ 2.86M 19K Shares | $ 0 0 Shares | $ 2.86M 19K Shares | $ 29.5M 196K Shares | $ 77K 516 Shares | $ 29.5M 197K Shares | $-26.7M -178K Shares | |
EWBC
|
$ 2.85M 56.2K Shares | $ 0 0 Shares | $ 2.85M 56.2K Shares | $ 62.7M 1.24M Shares | $ 634K 12.5K Shares | $ 63.3M 1.25M Shares | $-60.5M -1.19M Shares | |
CNXC
|
$ 2.85M 28.9K Shares | $ 0 0 Shares | $ 2.85M 28.9K Shares | $ 0 0 Shares | $ 708K 7.18K Shares | $ 708K 7.18K Shares | $2.14M 21.7K Shares | |
BHVN
|
$ 2.85M 33.2K Shares | $ 0 0 Shares | $ 2.85M 33.2K Shares | $ 58M 677K Shares | $ 96K 1.13K Shares | $ 58.1M 678K Shares | $-55.2M -644K Shares | |
CMCSA
|
$ 2.83M 54.1K Shares | $ 39.5M 754K Shares | $ 42.4M 809K Shares | $ 196M 3.74M Shares | $ 4.86M 92.8K Shares | $ 201M 3.83M Shares | $-159M -3.03M Shares | |
MRSN
|
$ 2.82M 106K Shares | $ 317K 12K Shares | $ 3.14M 118K Shares | $ 186M 6.99M Shares | $ 631K 23.7K Shares | $ 187M 7.02M Shares | $-184M -6.9M Shares | |
SBI
|
$ 2.81M 306K Shares | $ 0 0 Shares | $ 2.81M 306K Shares | $ 474K 51.6K Shares | $ 0 0 Shares | $ 474K 51.6K Shares | $2.34M 254K Shares | |
OLED
|
$ 2.81M 12.2K Shares | $ 0 0 Shares | $ 2.81M 12.2K Shares | $ 4.75M 20.7K Shares | $ 1.55M 6.73K Shares | $ 6.29M 27.4K Shares | $-3.48M -15.2K Shares | |
W
|
$ 2.8M 12.4K Shares | $ 2.61M 11.6K Shares | $ 5.41M 24K Shares | $ 123M 546K Shares | $ 71K 317 Shares | $ 123M 547K Shares | $-118M -523K Shares | |
CDLX
|
$ 2.79M 19.6K Shares | $ 12K 86 Shares | $ 2.8M 19.6K Shares | $ 52.5M 368K Shares | $ 150K 1.06K Shares | $ 52.6M 369K Shares | $-49.8M -349K Shares | |
IFF
|
$ 2.79M 25.6K Shares | $ 1.79M 16.5K Shares | $ 4.58M 42.1K Shares | $ 67M 616K Shares | $ 8.04M 73.9K Shares | $ 75M 690K Shares | $-70.5M -647K Shares | |
ALLK
|
$ 2.78M 19.9K Shares | $ 0 0 Shares | $ 2.78M 19.9K Shares | $ 95.6M 683K Shares | $ 14.5M 104K Shares | $ 110M 787K Shares | $-107M -767K Shares | |
AZO
|
$ 2.78M 2.34K Shares | $ 7M 5.9K Shares | $ 9.78M 8.25K Shares | $ 105M 88.7K Shares | $ 20.8M 17.6K Shares | $ 126M 106K Shares | $-116M -98K Shares | |
NTRA
|
$ 2.78M 27.9K Shares | $ 2.44M 24.5K Shares | $ 5.22M 52.4K Shares | $ 34.3M 345K Shares | $ 87K 877 Shares | $ 34.4M 346K Shares | $-29.2M -293K Shares | |
TDY
|
$ 2.77M 7.08K Shares | $ 1.03M 2.63K Shares | $ 3.8M 9.7K Shares | $ 6.93M 17.7K Shares | $ 1.38M 3.52K Shares | $ 8.31M 21.2K Shares | $-4.5M -11.5K Shares | |
UTHR
|
$ 2.76M 18.2K Shares | $ 0 0 Shares | $ 2.76M 18.2K Shares | $ 46.7M 308K Shares | $ 716K 4.72K Shares | $ 47.4M 313K Shares | $-44.7M -294K Shares | |
GLNG
|
$ 2.76M 286K Shares | $ 224K 23.3K Shares | $ 2.98M 310K Shares | $ 11.1M 1.15M Shares | $ 119K 12.4K Shares | $ 11.2M 1.17M Shares | $-8.25M -856K Shares | |
UMPQ
|
$ 2.75M 182K Shares | $ 12K 795 Shares | $ 2.77M 183K Shares | $ 42.8M 2.83M Shares | $ 84K 5.58K Shares | $ 42.9M 2.83M Shares | $-40.2M -2.65M Shares | |
MSA
|
$ 2.75M 18.4K Shares | $ 44K 300 Shares | $ 2.79M 18.7K Shares | $ 33.4M 224K Shares | $ 669K 4.48K Shares | $ 34.1M 228K Shares | $-31.3M -209K Shares | |
FCEL
|
$ 2.73M 245K Shares | $ 175K 15.7K Shares | $ 2.91M 260K Shares | $ 323M 28.9M Shares | $ 108K 9.72K Shares | $ 323M 28.9M Shares | $-320M -28.6M Shares | |
TTEK
|
$ 2.72M 23.5K Shares | $ 2.02M 17.5K Shares | $ 4.74M 40.9K Shares | $ 29.1M 251K Shares | $ 288K 2.49K Shares | $ 29.3M 253K Shares | $-24.6M -212K Shares | |
ACN
|
$ 2.69M 10.3K Shares | $ 23.6M 90.4K Shares | $ 26.3M 101K Shares | $ 420M 1.61M Shares | $ 13.5M 51.8K Shares | $ 434M 1.66M Shares | $-407M -1.56M Shares | |
AVYA
|
$ 2.69M 140K Shares | $ 0 0 Shares | $ 2.69M 140K Shares | $ 81.4M 4.25M Shares | $ 1.72M 89.9K Shares | $ 83.1M 4.34M Shares | $-80.4M -4.2M Shares | |
BLD
|
$ 2.68M 14.6K Shares | $ 1.97M 10.7K Shares | $ 4.65M 25.3K Shares | $ 68.1M 370K Shares | $ 275K 1.5K Shares | $ 68.4M 372K Shares | $-63.7M -346K Shares | |
PFGC
|
$ 2.68M 56.3K Shares | $ 0 0 Shares | $ 2.68M 56.3K Shares | $ 56.4M 1.18M Shares | $ 2.27M 47.6K Shares | $ 58.6M 1.23M Shares | $-55.9M -1.18M Shares | |
UFPI
|
$ 2.67M 48.1K Shares | $ 733K 13.2K Shares | $ 3.4M 61.3K Shares | $ 27.3M 492K Shares | $ 2.55M 45.8K Shares | $ 29.9M 538K Shares | $-26.5M -477K Shares | |
PRGO
|
$ 2.66M 59.5K Shares | $ 0 0 Shares | $ 2.66M 59.5K Shares | $ 15.7M 351K Shares | $ 110K 2.47K Shares | $ 15.8M 354K Shares | $-13.2M -294K Shares | |
SMG
|
$ 2.66M 13.4K Shares | $ 1K 10 Shares | $ 2.66M 13.4K Shares | $ 50.6M 254K Shares | $ 868K 4.36K Shares | $ 51.4M 258K Shares | $-48.8M -245K Shares | |
UBX
|
$ 2.65M 506K Shares | $ 0 0 Shares | $ 2.65M 506K Shares | $ 2.46M 469K Shares | $ 0 0 Shares | $ 2.46M 469K Shares | $193K 36.8K Shares | |
CSCO
|
$ 2.65M 59.2K Shares | $ 16.6M 370K Shares | $ 19.2M 429K Shares | $ 153M 3.43M Shares | $ 394M 8.81M Shares | $ 548M 12.2M Shares | $-529M -11.8M Shares | |
TSN
|
$ 2.65M 41.1K Shares | $ 1.62M 25.2K Shares | $ 4.27M 66.3K Shares | $ 162M 2.52M Shares | $ 940K 14.6K Shares | $ 163M 2.53M Shares | $-159M -2.47M Shares | |
WTRG
|
$ 2.64M 55.9K Shares | $ 0 0 Shares | $ 2.64M 55.9K Shares | $ 67.1M 1.42M Shares | $ 3.55M 75K Shares | $ 70.6M 1.49M Shares | $-68M -1.44M Shares | |
CBRE
|
$ 2.64M 42.1K Shares | $ 1.89M 30.1K Shares | $ 4.53M 72.2K Shares | $ 21.1M 336K Shares | $ 732K 11.7K Shares | $ 21.8M 347K Shares | $-17.3M -275K Shares | |
LSTR
|
$ 2.63M 19.5K Shares | $ 0 0 Shares | $ 2.63M 19.5K Shares | $ 31.5M 234K Shares | $ 446K 3.32K Shares | $ 32M 237K Shares | $-29.3M -218K Shares | |
PRMW
|
$ 2.62M 167K Shares | $ 568K 36.3K Shares | $ 3.19M 203K Shares | $ 14.2M 903K Shares | $ 519K 33.2K Shares | $ 14.7M 936K Shares | $-11.5M -733K Shares | |
APD
|
$ 2.61M 9.56K Shares | $ 5.89M 21.5K Shares | $ 8.5M 31.1K Shares | $ 92.3M 338K Shares | $ 2.14M 7.82K Shares | $ 94.4M 346K Shares | $-85.9M -314K Shares | |
PGF
|
$ 2.6M 135K Shares | $ 0 0 Shares | $ 2.6M 135K Shares | $ 66K 3.46K Shares | $ 0 0 Shares | $ 66K 3.46K Shares | $2.53M 132K Shares | |
FDX
|
$ 2.6M 10K Shares | $ 6.63M 25.6K Shares | $ 9.23M 35.6K Shares | $ 132M 507K Shares | $ 2.27M 8.73K Shares | $ 134M 516K Shares | $-125M -481K Shares | |
SHLX
|
$ 2.6M 258K Shares | $ 0 0 Shares | $ 2.6M 258K Shares | $ 5.76M 571K Shares | $ 0 0 Shares | $ 5.76M 571K Shares | $-3.16M -314K Shares | |
DNB
|
$ 2.59M 104K Shares | $ 0 0 Shares | $ 2.59M 104K Shares | $ 91.2M 3.66M Shares | $ 1.25M 50K Shares | $ 92.5M 3.71M Shares | $-89.9M -3.61M Shares | |
YPF
|
$ 2.59M 550K Shares | $ 2.22M 473K Shares | $ 4.81M 1.02M Shares | $ 5.1M 1.08M Shares | $ 0 0 Shares | $ 5.1M 1.08M Shares | $-288K -61.3K Shares | |
TTC
|
$ 2.58M 27.2K Shares | $ 36K 381 Shares | $ 2.62M 27.6K Shares | $ 33M 348K Shares | $ 1.17M 12.3K Shares | $ 34.2M 360K Shares | $-31.5M -333K Shares | |
NOC
|
$ 2.56M 8.41K Shares | $ 7.15M 23.4K Shares | $ 9.71M 31.9K Shares | $ 136M 448K Shares | $ 570K 1.87K Shares | $ 137M 450K Shares | $-127M -418K Shares | |
AMLP
|
$ 2.56M 99.8K Shares | $ 0 0 Shares | $ 2.56M 99.8K Shares | $ 15.3M 598K Shares | $ 21K 847 Shares | $ 15.4M 599K Shares | $-12.8M -499K Shares | |
AVUS
|
$ 2.55M 40.5K Shares | $ 0 0 Shares | $ 2.55M 40.5K Shares | $ 255K 4.06K Shares | $ 0 0 Shares | $ 255K 4.06K Shares | $2.3M 36.4K Shares | |
CAT
|
$ 2.54M 14K Shares | $ 8.55M 47K Shares | $ 11.1M 60.9K Shares | $ 1.18B 6.47M Shares | $ 8.85M 48.6K Shares | $ 1.19B 6.52M Shares | $-1.18B -6.46M Shares | |
AJRD
|
$ 2.54M 48.1K Shares | $ 1.74M 32.9K Shares | $ 4.28M 81K Shares | $ 225M 4.26M Shares | $ 881K 16.7K Shares | $ 226M 4.27M Shares | $-221M -4.19M Shares |