Top Companies Added as New Holdings by Institutions in Q2 2022
Ticker | Buy | Sell | Net Activity | |||||
---|---|---|---|---|---|---|---|---|
New Holding | Increment | Total | Sold Out | Reduction | Total | |||
SBSW
|
$ 11.6M 1.16M Shares | $ 70.2M 7.04M Shares | $ 81.8M 8.2M Shares | $ 38.2M 3.83M Shares | $ 49.2M 4.93M Shares | $ 87.4M 8.77M Shares | $-5.63M -565K Shares | |
CSAN
|
$ 11.6M 832K Shares | $ 17.9M 1.29M Shares | $ 29.5M 2.12M Shares | $ 1.28M 91.8K Shares | $ 7.37M 531K Shares | $ 8.65M 622K Shares | $20.8M 1.5M Shares | |
XPEL
|
$ 11.6M 252K Shares | $ 48.2M 1.05M Shares | $ 59.7M 1.3M Shares | $ 15.9M 346K Shares | $ 16M 349K Shares | $ 31.9M 695K Shares | $27.8M 606K Shares | |
IWX
|
$ 11.6M 187K Shares | $ 105M 1.7M Shares | $ 116M 1.88M Shares | $ 890K 14.4K Shares | $ 25.1M 406K Shares | $ 25.9M 420K Shares | $90.3M 1.46M Shares | |
WEL
|
$ 11.5M 1.16M Shares | $ 2.12M 212K Shares | $ 13.7M 1.37M Shares | $ 6.28M 630K Shares | $ 602K 60.5K Shares | $ 6.88M 690K Shares | $6.78M 680K Shares | |
GLHA
|
$ 11.5M 1.18M Shares | $ 6.69M 682K Shares | $ 18.2M 1.86M Shares | $ 6.38M 650K Shares | $ 26K 2.66K Shares | $ 6.4M 653K Shares | $11.8M 1.21M Shares | |
LEV
|
$ 11.5M 2.74M Shares | $ 9.38M 2.23M Shares | $ 20.9M 4.97M Shares | $ 8.25M 1.96M Shares | $ 4M 950K Shares | $ 12.3M 2.91M Shares | $8.67M 2.06M Shares | |
RWL
|
$ 11.5M 165K Shares | $ 69.4M 993K Shares | $ 80.9M 1.16M Shares | $ 5.34M 76.4K Shares | $ 46.3M 662K Shares | $ 51.6M 738K Shares | $29.3M 420K Shares | |
SUMO
|
$ 11.5M 1.54M Shares | $ 87M 11.6M Shares | $ 98.5M 13.2M Shares | $ 62.4M 8.32M Shares | $ 26.5M 3.54M Shares | $ 88.9M 11.9M Shares | $9.68M 1.29M Shares | |
USNA
|
$ 11.5M 159K Shares | $ 32.1M 444K Shares | $ 43.6M 603K Shares | $ 9.37M 129K Shares | $ 23.1M 319K Shares | $ 32.5M 449K Shares | $11.1M 154K Shares | |
DDL
|
$ 11.5M 2.08M Shares | $ 24M 4.34M Shares | $ 35.5M 6.42M Shares | $ 1.56M 283K Shares | $ 73.4M 13.3M Shares | $ 75M 13.6M Shares | $-39.5M -7.14M Shares | |
FTCI
|
$ 11.5M 3.18M Shares | $ 18.8M 5.19M Shares | $ 30.3M 8.37M Shares | $ 9.56M 2.64M Shares | $ 7.45M 2.06M Shares | $ 17M 4.7M Shares | $13.3M 3.67M Shares | |
PLYM
|
$ 11.5M 656K Shares | $ 101M 5.77M Shares | $ 113M 6.43M Shares | $ 14.4M 823K Shares | $ 24.5M 1.4M Shares | $ 38.9M 2.22M Shares | $73.8M 4.21M Shares | |
PGTI
|
$ 11.5M 690K Shares | $ 47.4M 2.85M Shares | $ 58.9M 3.54M Shares | $ 15.3M 920K Shares | $ 22.3M 1.34M Shares | $ 37.6M 2.26M Shares | $21.3M 1.28M Shares | |
HEAR
|
$ 11.5M 939K Shares | $ 32.7M 2.67M Shares | $ 44.2M 3.61M Shares | $ 6.75M 552K Shares | $ 17.2M 1.41M Shares | $ 24M 1.96M Shares | $20.2M 1.65M Shares | |
KAPR
|
$ 11.5M 475K Shares | $ 1.85M 76.7K Shares | $ 13.3M 552K Shares | $ 1.55M 64.3K Shares | $ 2.25M 93.2K Shares | $ 3.8M 157K Shares | $9.51M 394K Shares | |
RCII
|
$ 11.4M 588K Shares | $ 48.4M 2.49M Shares | $ 59.9M 3.08M Shares | $ 19M 975K Shares | $ 117M 6.04M Shares | $ 136M 7.01M Shares | $-76.5M -3.94M Shares | |
DHAC
|
$ 11.4M 1.14M Shares | $ 11.9M 1.19M Shares | $ 23.4M 2.33M Shares | $ 29.1M 2.9M Shares | $ 42K 4.24K Shares | $ 29.1M 2.9M Shares | $-5.74M -572K Shares | |
POCT
|
$ 11.4M 407K Shares | $ 5.49M 196K Shares | $ 16.9M 602K Shares | $ 2.46M 87.5K Shares | $ 4.28M 153K Shares | $ 6.74M 240K Shares | $10.2M 362K Shares | |
MUFG
|
$ 11.4M 2.13M Shares | $ 116M 21.7M Shares | $ 127M 23.8M Shares | $ 14.4M 2.7M Shares | $ 32.6M 6.1M Shares | $ 47M 8.81M Shares | $80.1M 15M Shares | |
MLCO
|
$ 11.4M 1.98M Shares | $ 177M 30.7M Shares | $ 188M 32.7M Shares | $ 31.9M 5.54M Shares | $ 179M 31.2M Shares | $ 211M 36.7M Shares | $-23.2M -4.04M Shares | |
PFLD
|
$ 11.4M 511K Shares | $ 3.04M 137K Shares | $ 14.4M 648K Shares | $ 282K 12.7K Shares | $ 3.48M 156K Shares | $ 3.76M 169K Shares | $10.6M 479K Shares | |
MTRX
|
$ 11.4M 2.25M Shares | $ 11.4M 2.26M Shares | $ 22.8M 4.51M Shares | $ 4.8M 948K Shares | $ 24.1M 4.76M Shares | $ 28.9M 5.71M Shares | $-6.07M -1.2M Shares | |
HLIT
|
$ 11.3M 1.31M Shares | $ 38.1M 4.4M Shares | $ 49.5M 5.71M Shares | $ 9M 1.04M Shares | $ 23.8M 2.75M Shares | $ 32.8M 3.79M Shares | $16.7M 1.92M Shares | |
ACRS
|
$ 11.3M 812K Shares | $ 92.3M 6.61M Shares | $ 104M 7.43M Shares | $ 5.6M 401K Shares | $ 40.1M 2.87M Shares | $ 45.7M 3.27M Shares | $58M 4.15M Shares | |
HBM
|
$ 11.3M 2.78M Shares | $ 47.4M 11.6M Shares | $ 58.8M 14.4M Shares | $ 6.62M 1.62M Shares | $ 22.1M 5.43M Shares | $ 28.8M 7.05M Shares | $30M 7.35M Shares | |
AMPY
|
$ 11.3M 1.73M Shares | $ 32.2M 4.92M Shares | $ 43.5M 6.65M Shares | $ 8.94M 1.37M Shares | $ 4.13M 632K Shares | $ 13.1M 2M Shares | $30.4M 4.65M Shares | |
BTG
|
$ 11.3M 3.34M Shares | $ 100M 29.5M Shares | $ 111M 32.9M Shares | $ 19.3M 5.69M Shares | $ 59.6M 17.6M Shares | $ 78.8M 23.3M Shares | $32.6M 9.62M Shares | |
VRA
|
$ 11.3M 2.59M Shares | $ 16.2M 3.72M Shares | $ 27.4M 6.32M Shares | $ 7.15M 1.65M Shares | $ 31.1M 7.16M Shares | $ 38.2M 8.81M Shares | $-10.8M -2.49M Shares | |
TEKK
|
$ 11.3M 1.14M Shares | $ 13.7M 1.38M Shares | $ 25M 2.52M Shares | $ 11.5M 1.16M Shares | $ 1.95M 197K Shares | $ 13.4M 1.36M Shares | $11.5M 1.16M Shares | |
UAN
|
$ 11.3M 113K Shares | $ 29.5M 295K Shares | $ 40.7M 408K Shares | $ 3.46M 34.6K Shares | $ 39.9M 399K Shares | $ 43.3M 434K Shares | $-2.6M -26K Shares | |
CLNE
|
$ 11.3M 2.51M Shares | $ 39.6M 8.84M Shares | $ 50.9M 11.4M Shares | $ 7.27M 1.62M Shares | $ 18.1M 4.04M Shares | $ 25.4M 5.66M Shares | $25.5M 5.69M Shares | |
AOA
|
$ 11.2M 187K Shares | $ 59M 985K Shares | $ 70.2M 1.17M Shares | $ 36.9M 617K Shares | $ 10.7M 179K Shares | $ 47.7M 796K Shares | $22.5M 376K Shares | |
PPBI
|
$ 11.2M 383K Shares | $ 106M 3.63M Shares | $ 117M 4.02M Shares | $ 4.63M 158K Shares | $ 73.3M 2.51M Shares | $ 78M 2.67M Shares | $39.5M 1.35M Shares | |
ENCP
|
$ 11.2M 1.11M Shares | $ 3.74M 372K Shares | $ 14.9M 1.48M Shares | $ 5.05M 501K Shares | $ 4.91M 487K Shares | $ 9.95M 988K Shares | $4.99M 495K Shares | |
PRMW
|
$ 11.2M 837K Shares | $ 114M 8.51M Shares | $ 125M 9.34M Shares | $ 18.9M 1.41M Shares | $ 147M 11M Shares | $ 166M 12.4M Shares | $-40.6M -3.03M Shares | |
DICE
|
$ 11.2M 720K Shares | $ 43.6M 2.81M Shares | $ 54.8M 3.53M Shares | $ 12.3M 790K Shares | $ 29.3M 1.89M Shares | $ 41.5M 2.68M Shares | $13.3M 856K Shares | |
EMQQ
|
$ 11.2M 346K Shares | $ 33.7M 1.04M Shares | $ 44.8M 1.39M Shares | $ 8.6M 266K Shares | $ 51.1M 1.58M Shares | $ 59.7M 1.85M Shares | $-14.9M -461K Shares | |
SCHJ
|
$ 11.1M 234K Shares | $ 5.2M 109K Shares | $ 16.3M 344K Shares | $ 18M 379K Shares | $ 26.2M 552K Shares | $ 44.2M 932K Shares | $-27.9M -588K Shares | |
VHI
|
$ 11.1M 245K Shares | $ 7.36M 162K Shares | $ 18.5M 408K Shares | $ 2.54M 56K Shares | $ 4.72M 104K Shares | $ 7.26M 160K Shares | $11.2M 248K Shares | |
SMLP
|
$ 11.1M 873K Shares | $ 2.31M 182K Shares | $ 13.4M 1.05M Shares | $ 0 0 Shares | $ 6.67M 524K Shares | $ 6.67M 524K Shares | $6.75M 530K Shares | |
BBVA
|
$ 11.1M 2.46M Shares | $ 130M 28.7M Shares | $ 141M 31.2M Shares | $ 5.33M 1.18M Shares | $ 82.8M 18.3M Shares | $ 88.1M 19.5M Shares | $52.8M 11.7M Shares | |
TECL
|
$ 11.1M 396K Shares | $ 9.68M 345K Shares | $ 20.8M 740K Shares | $ 1.32M 47.1K Shares | $ 9.29M 331K Shares | $ 10.6M 378K Shares | $10.2M 362K Shares | |
FINM
|
$ 11M 1.12M Shares | $ 30.3M 3.07M Shares | $ 41.3M 4.19M Shares | $ 14.6M 1.48M Shares | $ 11.1M 1.13M Shares | $ 25.7M 2.61M Shares | $15.6M 1.58M Shares | |
FXLV
|
$ 11M 2.81M Shares | $ 12.5M 3.19M Shares | $ 23.6M 6M Shares | $ 18M 4.57M Shares | $ 2.27M 578K Shares | $ 20.2M 5.15M Shares | $3.35M 852K Shares | |
FTXH
|
$ 11M 418K Shares | $ 976K 36.9K Shares | $ 12M 454K Shares | $ 807K 30.5K Shares | $ 1.04M 39.4K Shares | $ 1.85M 69.9K Shares | $10.2M 385K Shares | |
DAC
|
$ 11M 175K Shares | $ 76.6M 1.21M Shares | $ 87.6M 1.39M Shares | $ 26.3M 417K Shares | $ 96.5M 1.53M Shares | $ 123M 1.95M Shares | $-35.2M -558K Shares | |
CLOER
|
$ 11M 1.09M Shares | $ 0 0 Shares | $ 11M 1.09M Shares | $ 0 0 Shares | $ 74K 7.4K Shares | $ 74K 7.4K Shares | $11M 1.08M Shares | |
NEU
|
$ 11M 36.6K Shares | $ 89.6M 298K Shares | $ 101M 334K Shares | $ 15.3M 50.7K Shares | $ 49.8M 166K Shares | $ 65.1M 216K Shares | $35.6M 118K Shares | |
FNA
|
$ 11M 693K Shares | $ 104M 6.53M Shares | $ 115M 7.22M Shares | $ 11.6M 729K Shares | $ 11.4M 719K Shares | $ 23M 1.45M Shares | $91.7M 5.78M Shares |