Top Companies Added as New Holdings by Institutions in Q4 2021
Ticker | Buy | Sell | Net Activity | |||||
---|---|---|---|---|---|---|---|---|
New Holding | Increment | Total | Sold Out | Reduction | Total | |||
APOG
|
$ 706K 14.7K Shares | $ 0 0 Shares | $ 706K 14.7K Shares | $ 6.7M 139K Shares | $ 417K 8.67K Shares | $ 7.12M 148K Shares | $-6.41M -133K Shares | |
SHEL
|
$ 706K 32.2K Shares | $ 0 0 Shares | $ 706K 32.2K Shares | $ 0 0 Shares | $ 493K 22.5K Shares | $ 493K 22.5K Shares | $213K 9.7K Shares | |
AXNX
|
$ 705K 12.6K Shares | $ 12.2M 218K Shares | $ 12.9M 230K Shares | $ 74.6M 1.33M Shares | $ 94K 1.68K Shares | $ 74.7M 1.33M Shares | $-61.8M -1.1M Shares | |
XPL
|
$ 705K 1.41M Shares | $ 0 0 Shares | $ 705K 1.41M Shares | $ 0 154 Shares | $ 0 1.26K Shares | $ 0 1.41K Shares | $705K 1.41M Shares | |
RCL
|
$ 705K 9.17K Shares | $ 131K 1.72K Shares | $ 837K 10.9K Shares | $ 83.5M 1.09M Shares | $ 4.49M 58.3K Shares | $ 87.9M 1.14M Shares | $-87.1M -1.13M Shares | |
FTSL
|
$ 705K 14.7K Shares | $ 0 0 Shares | $ 705K 14.7K Shares | $ 19.8M 414K Shares | $ 355K 7.42K Shares | $ 20.2M 421K Shares | $-19.5M -406K Shares | |
HYLS
|
$ 704K 14.7K Shares | $ 0 18 Shares | $ 705K 14.7K Shares | $ 9.56M 200K Shares | $ 1.51M 31.5K Shares | $ 11.1M 231K Shares | $-10.4M -217K Shares | |
SPRC
|
$ 704K 113K Shares | $ 0 0 Shares | $ 704K 113K Shares | — | $704K 113K Shares | |||
HUMA
|
$ 702K 96.9K Shares | $ 0 0 Shares | $ 702K 96.9K Shares | $ 14.6M 2.02M Shares | $ 36K 5K Shares | $ 14.7M 2.03M Shares | $-14M -1.93M Shares | |
AINV
|
$ 700K 54.8K Shares | $ 107K 8.43K Shares | $ 808K 63.2K Shares | $ 4.83M 377K Shares | $ 107K 8.43K Shares | $ 4.93M 386K Shares | $-4.13M -323K Shares | |
EFSC
|
$ 700K 14.9K Shares | $ 21K 467 Shares | $ 722K 15.4K Shares | $ 38.5M 817K Shares | $ 2.13M 45.1K Shares | $ 40.6M 862K Shares | $-39.9M -847K Shares | |
AMKR
|
$ 695K 28.1K Shares | $ 234K 9.48K Shares | $ 930K 37.5K Shares | $ 17.4M 702K Shares | $ 1.4M 56.4K Shares | $ 18.8M 758K Shares | $-17.9M -721K Shares | |
QNST
|
$ 694K 38.2K Shares | $ 251K 13.8K Shares | $ 946K 52K Shares | $ 21.6M 1.19M Shares | $ 153K 8.45K Shares | $ 21.7M 1.19M Shares | $-20.8M -1.14M Shares | |
WDFC
|
$ 694K 2.84K Shares | $ 1K 6 Shares | $ 695K 2.84K Shares | $ 16.9M 69K Shares | $ 2.19M 8.96K Shares | $ 19.1M 77.9K Shares | $-18.4M -75.1K Shares | |
SYF
|
$ 694K 15K Shares | $ 4.24M 91.3K Shares | $ 4.93M 106K Shares | $ 284M 6.13M Shares | $ 790K 17K Shares | $ 285M 6.14M Shares | $-280M -6.04M Shares | |
ROL
|
$ 693K 20.3K Shares | $ 1.99M 58.2K Shares | $ 2.68M 78.4K Shares | $ 49M 1.43M Shares | $ 619K 18.1K Shares | $ 49.7M 1.45M Shares | $-47M -1.37M Shares | |
RE
|
$ 693K 2.53K Shares | $ 2.9M 10.6K Shares | $ 3.59M 13.1K Shares | $ 30.2M 110K Shares | $ 574K 2.1K Shares | $ 30.8M 112K Shares | $-27.2M -99.4K Shares | |
RYU
|
$ 691K 6.06K Shares | $ 0 0 Shares | $ 691K 6.06K Shares | $ 34.3M 300K Shares | $ 278K 2.44K Shares | $ 34.6M 303K Shares | $-33.9M -297K Shares | |
ELS
|
$ 687K 7.85K Shares | $ 7K 82 Shares | $ 695K 7.93K Shares | $ 19.5M 223K Shares | $ 1.06M 12.1K Shares | $ 20.6M 235K Shares | $-19.9M -227K Shares | |
CDMO
|
$ 687K 23.6K Shares | $ 133K 4.56K Shares | $ 820K 28.1K Shares | $ 27.9M 955K Shares | $ 262K 9K Shares | $ 28.1M 964K Shares | $-27.3M -936K Shares | |
SLP
|
$ 686K 14.5K Shares | $ 0 0 Shares | $ 686K 14.5K Shares | $ 17.3M 366K Shares | $ 53K 1.12K Shares | $ 17.4M 368K Shares | $-16.7M -353K Shares | |
CLFD
|
$ 686K 8.13K Shares | $ 13K 160 Shares | $ 699K 8.29K Shares | $ 6.05M 71.6K Shares | $ 110K 1.31K Shares | $ 6.16M 73K Shares | $-5.46M -64.7K Shares | |
FINX
|
$ 686K 17.2K Shares | $ 0 0 Shares | $ 686K 17.2K Shares | $ 5.49M 137K Shares | $ 519K 13K Shares | $ 6.01M 150K Shares | $-5.33M -133K Shares | |
CUBE
|
$ 685K 12K Shares | $ 58K 1.03K Shares | $ 743K 13.1K Shares | $ 24M 422K Shares | $ 176K 3.11K Shares | $ 24.2M 425K Shares | $-23.5M -412K Shares | |
GENI
|
$ 684K 90K Shares | $ 4K 550 Shares | $ 688K 90.6K Shares | $ 61.6M 8.11M Shares | $ 344K 45.3K Shares | $ 62M 8.15M Shares | $-61.3M -8.06M Shares | |
DXLG
|
$ 684K 121K Shares | $ 0 0 Shares | $ 684K 121K Shares | $ 3.1M 545K Shares | $ 0 0 Shares | $ 3.1M 545K Shares | $-2.41M -425K Shares | |
WK
|
$ 683K 5.24K Shares | $ 0 0 Shares | $ 683K 5.24K Shares | $ 17.2M 132K Shares | $ 3.81M 29.2K Shares | $ 21.1M 161K Shares | $-20.4M -156K Shares | |
FCOM
|
$ 683K 13.3K Shares | $ 0 0 Shares | $ 683K 13.3K Shares | $ 13.9M 270K Shares | $ 37K 735 Shares | $ 13.9M 270K Shares | $-13.2M -257K Shares | |
KL
|
$ 683K 16.3K Shares | $ 837K 20K Shares | $ 1.52M 36.3K Shares | $ 6.39M 152K Shares | $ 503K 12K Shares | $ 6.89M 164K Shares | $-5.37M -128K Shares | |
GOEV
|
$ 681K 88.2K Shares | $ 10K 1.34K Shares | $ 691K 89.6K Shares | $ 2.02M 261K Shares | $ 125K 16.3K Shares | $ 2.14M 278K Shares | $-1.45M -188K Shares | |
HNI
|
$ 681K 16.2K Shares | $ 0 0 Shares | $ 681K 16.2K Shares | $ 34.6M 824K Shares | $ 1.23M 29.4K Shares | $ 35.9M 853K Shares | $-35.2M -837K Shares | |
GDYN
|
$ 675K 17.8K Shares | $ 254K 6.7K Shares | $ 929K 24.5K Shares | $ 6.23M 164K Shares | $ 0 0 Shares | $ 6.23M 164K Shares | $-5.3M -140K Shares | |
VTIQ
|
$ 674K 69.3K Shares | $ 52K 5.43K Shares | $ 727K 74.7K Shares | $ 2.19M 225K Shares | $ 15K 1.58K Shares | $ 2.21M 227K Shares | $-1.48M -152K Shares | |
ITT
|
$ 672K 6.58K Shares | $ 152K 1.5K Shares | $ 824K 8.07K Shares | $ 14.1M 138K Shares | $ 4M 39.2K Shares | $ 18.1M 177K Shares | $-17.3M -169K Shares | |
COCO
|
$ 671K 60.1K Shares | $ 0 0 Shares | $ 671K 60.1K Shares | — | $671K 60.1K Shares | |||
IMUX
|
$ 671K 70.2K Shares | $ 0 0 Shares | $ 671K 70.2K Shares | $ 3.61M 377K Shares | $ 0 0 Shares | $ 3.61M 377K Shares | $-2.94M -307K Shares | |
MXE
|
$ 669K 75.1K Shares | $ 3.64M 408K Shares | $ 4.31M 483K Shares | — | $4.31M 483K Shares | |||
LBRT
|
$ 667K 68.8K Shares | $ 7K 776 Shares | $ 675K 69.6K Shares | $ 1.25M 129K Shares | $ 1.37M 141K Shares | $ 2.62M 270K Shares | $-1.94M -200K Shares | |
MARA
|
$ 666K 20.3K Shares | $ 185K 5.66K Shares | $ 851K 25.9K Shares | $ 30.8M 937K Shares | $ 144K 4.4K Shares | $ 30.9M 941K Shares | $-30.1M -915K Shares | |
HR
|
$ 666K 20K Shares | $ 295K 8.84K Shares | $ 962K 28.8K Shares | $ 25.8M 773K Shares | $ 1.9M 56.8K Shares | $ 27.7M 830K Shares | $-26.7M -801K Shares | |
PCVX
|
$ 665K 28K Shares | $ 0 0 Shares | $ 665K 28K Shares | $ 3.14M 132K Shares | $ 25K 1.06K Shares | $ 3.17M 133K Shares | $-2.5M -105K Shares | |
SUI
|
$ 664K 3.17K Shares | $ 298K 1.42K Shares | $ 962K 4.59K Shares | $ 21.6M 103K Shares | $ 2.86M 13.6K Shares | $ 24.5M 117K Shares | $-23.5M -112K Shares | |
IRDM
|
$ 663K 16.1K Shares | $ 687K 16.7K Shares | $ 1.35M 32.7K Shares | $ 23.3M 564K Shares | $ 1.92M 46.5K Shares | $ 25.2M 611K Shares | $-23.9M -578K Shares | |
KTOS
|
$ 663K 34.2K Shares | $ 514K 26.5K Shares | $ 1.18M 60.7K Shares | $ 26M 1.34M Shares | $ 1.66M 85.4K Shares | $ 27.7M 1.43M Shares | $-26.5M -1.37M Shares | |
FCF
|
$ 663K 41.2K Shares | $ 70K 4.36K Shares | $ 733K 45.6K Shares | $ 1.17M 72.5K Shares | $ 29K 1.83K Shares | $ 1.2M 74.3K Shares | $-462K -28.7K Shares | |
WCC
|
$ 663K 5.05K Shares | $ 12.2M 92.7K Shares | $ 12.9M 97.7K Shares | $ 35.4M 269K Shares | $ 1.58M 12K Shares | $ 37M 281K Shares | $-24.2M -184K Shares | |
PDCO
|
$ 658K 22.5K Shares | $ 80K 2.76K Shares | $ 739K 25.2K Shares | $ 8M 273K Shares | $ 1.51M 51.5K Shares | $ 9.51M 324K Shares | $-8.77M -299K Shares | |
MBII
|
$ 658K 914K Shares | $ 1.18M 1.64M Shares | $ 1.84M 2.56M Shares | $ 13.1M 18.3M Shares | $ 91K 127K Shares | $ 13.2M 18.4M Shares | $-11.4M -15.8M Shares | |
QSR
|
$ 658K 10.8K Shares | $ 4K 78 Shares | $ 662K 10.9K Shares | $ 102M 1.68M Shares | $ 20K 333 Shares | $ 102M 1.68M Shares | $-101M -1.67M Shares | |
JETS
|
$ 658K 31.2K Shares | $ 591K 28K Shares | $ 1.25M 59.3K Shares | $ 31.8M 1.51M Shares | $ 909K 43.1K Shares | $ 32.7M 1.55M Shares | $-31.4M -1.49M Shares |