Top Companies Added as New Holdings by Institutions in Q3 2022
| Ticker | Buy | Sell | Net Activity | |||||
|---|---|---|---|---|---|---|---|---|
| New Holding | Increment | Total | Sold Out | Reduction | Total | |||
|
CVS
|
$ 257M 2.7M Shares | $ 3.1B 32.5M Shares | $ 3.36B 35.2M Shares | $ 22.3M 234K Shares | $ 2.56B 26.8M Shares | $ 2.58B 27M Shares | $780M 8.18M Shares | |
|
MPLN
|
$ 257M 89.9M Shares | $ 31.5M 11M Shares | $ 289M 101M Shares | $ 7K 2.5K Shares | $ 143M 49.9M Shares | $ 143M 49.9M Shares | $146M 51M Shares | |
|
BPOP
|
$ 257M 3.56M Shares | $ 264M 3.67M Shares | $ 521M 7.23M Shares | $ 0 0 Shares | $ 545M 7.56M Shares | $ 545M 7.56M Shares | $-23.6M -328K Shares | |
|
WTW
|
$ 256M 1.27M Shares | $ 575M 2.86M Shares | $ 831M 4.14M Shares | $ 64.8M 322K Shares | $ 859M 4.28M Shares | $ 924M 4.6M Shares | $-92.8M -462K Shares | |
|
IWS
|
$ 256M 2.59M Shares | $ 370M 3.74M Shares | $ 626M 6.32M Shares | $ 1.48M 15K Shares | $ 317M 3.2M Shares | $ 318M 3.21M Shares | $308M 3.11M Shares | |
|
XRAY
|
$ 256M 9.03M Shares | $ 453M 16M Shares | $ 709M 25M Shares | $ 0 34 Shares | $ 723M 25.5M Shares | $ 723M 25.5M Shares | $-14.1M -496K Shares | |
|
SHOP
|
$ 256M 9.49M Shares | $ 2.68B 99.5M Shares | $ 2.94B 109M Shares | $ 805K 29.9K Shares | $ 1.45B 53.7M Shares | $ 1.45B 53.7M Shares | $1.49B 55.3M Shares | |
|
VCIT
|
$ 255M 3.37M Shares | $ 2.82B 37.3M Shares | $ 3.07B 40.6M Shares | $ 538K 7.12K Shares | $ 1.89B 24.9M Shares | $ 1.89B 24.9M Shares | $1.19B 15.7M Shares | |
|
POST
|
$ 255M 3.11M Shares | $ 153M 1.87M Shares | $ 408M 4.98M Shares | $ 0 0 Shares | $ 402M 4.91M Shares | $ 402M 4.91M Shares | $5.78M 70.5K Shares | |
|
DUK
|
$ 255M 2.74M Shares | $ 1.51B 16.2M Shares | $ 1.76B 18.9M Shares | $ 82.7M 889K Shares | $ 1.5B 16.1M Shares | $ 1.58B 17M Shares | $178M 1.91M Shares | |
|
HQY
|
$ 255M 3.79M Shares | $ 302M 4.5M Shares | $ 557M 8.29M Shares | $ 98.4M 1.46M Shares | $ 258M 3.84M Shares | $ 356M 5.31M Shares | $200M 2.98M Shares | |
|
RF
|
$ 253M 12.6M Shares | $ 594M 29.6M Shares | $ 847M 42.2M Shares | $ 601K 30K Shares | $ 637M 31.8M Shares | $ 638M 31.8M Shares | $209M 10.4M Shares | |
|
CCI
|
$ 253M 1.75M Shares | $ 1.91B 13.2M Shares | $ 2.16B 15M Shares | $ 176M 1.21M Shares | $ 1.62B 11.2M Shares | $ 1.8B 12.4M Shares | $363M 2.51M Shares | |
|
RENEW
|
$ 252M 2.15M Shares | $ 58.8M 500K Shares | $ 311M 2.65M Shares | $ 0 0 Shares | $ 25.6M 217K Shares | $ 25.6M 217K Shares | $286M 2.43M Shares | |
|
SHEL
|
$ 251M 5.22M Shares | $ 904M 18.8M Shares | $ 1.15B 24M Shares | $ 7.3M 152K Shares | $ 1.06B 22M Shares | $ 1.07B 22.1M Shares | $89.9M 1.87M Shares | |
|
CME
|
$ 251M 1.41M Shares | $ 2.33B 13.1M Shares | $ 2.58B 14.6M Shares | $ 42.5M 240K Shares | $ 2.31B 13M Shares | $ 2.35B 13.3M Shares | $230M 1.3M Shares | |
|
MPC
|
$ 250M 2.52M Shares | $ 1.21B 12.2M Shares | $ 1.46B 14.7M Shares | $ 449K 4.53K Shares | $ 4.15B 41.7M Shares | $ 4.15B 41.7M Shares | $-2.69B -27M Shares | |
|
AEM
|
$ 249M 5.89M Shares | $ 1.19B 28.2M Shares | $ 1.44B 34.1M Shares | $ 4.54M 107K Shares | $ 378M 8.96M Shares | $ 383M 9.06M Shares | $1.06B 25.1M Shares | |
|
CBRE
|
$ 248M 3.68M Shares | $ 694M 10.3M Shares | $ 942M 14M Shares | $ 196K 2.91K Shares | $ 1.29B 19.1M Shares | $ 1.29B 19.1M Shares | $-345M -5.11M Shares | |
|
MRTX
|
$ 248M 3.56M Shares | $ 383M 5.49M Shares | $ 632M 9.05M Shares | $ 1.38M 19.8K Shares | $ 412M 5.9M Shares | $ 413M 5.92M Shares | $219M 3.13M Shares | |
|
ACGL
|
$ 247M 5.43M Shares | $ 523M 11.5M Shares | $ 770M 16.9M Shares | $ 57K 1.25K Shares | $ 678M 14.9M Shares | $ 678M 14.9M Shares | $91.9M 2.02M Shares | |
|
BJ
|
$ 247M 3.39M Shares | $ 646M 8.87M Shares | $ 893M 12.3M Shares | $ 3K 51 Shares | $ 904M 12.4M Shares | $ 904M 12.4M Shares | $-11.1M -153K Shares | |
|
HOMB
|
$ 246M 10.9M Shares | $ 109M 4.82M Shares | $ 355M 15.8M Shares | $ 2.14M 94.9K Shares | $ 284M 12.6M Shares | $ 286M 12.7M Shares | $68.6M 3.05M Shares | |
|
THC
|
$ 245M 4.76M Shares | $ 498M 9.65M Shares | $ 743M 14.4M Shares | $ 10.6M 205K Shares | $ 376M 7.29M Shares | $ 387M 7.5M Shares | $357M 6.91M Shares | |
|
QUAL
|
$ 245M 2.36M Shares | $ 1.02B 9.77M Shares | $ 1.26B 12.1M Shares | $ 10.4M 100K Shares | $ 1.91B 18.4M Shares | $ 1.92B 18.5M Shares | $-658M -6.33M Shares | |
|
WING
|
$ 245M 1.95M Shares | $ 158M 1.26M Shares | $ 403M 3.21M Shares | $ 0 4 Shares | $ 358M 2.86M Shares | $ 358M 2.86M Shares | $44.5M 355K Shares | |
|
SIX
|
$ 245M 13.8M Shares | $ 264M 14.9M Shares | $ 508M 28.7M Shares | $ 470K 26.6K Shares | $ 174M 9.84M Shares | $ 175M 9.87M Shares | $333M 18.8M Shares | |
|
PPG
|
$ 244M 2.21M Shares | $ 658M 5.94M Shares | $ 902M 8.15M Shares | $ 39.6M 357K Shares | $ 716M 6.47M Shares | $ 755M 6.82M Shares | $147M 1.33M Shares | |
|
MNST
|
$ 244M 2.81M Shares | $ 1.73B 19.9M Shares | $ 1.97B 22.7M Shares | $ 94.5M 1.09M Shares | $ 1.44B 16.6M Shares | $ 1.54B 17.7M Shares | $438M 5.03M Shares | |
|
ST
|
$ 244M 6.55M Shares | $ 356M 9.54M Shares | $ 600M 16.1M Shares | $ 6.48M 174K Shares | $ 533M 14.3M Shares | $ 539M 14.5M Shares | $60.7M 1.63M Shares | |
|
MC
|
$ 244M 7.22M Shares | $ 93.4M 2.76M Shares | $ 338M 9.98M Shares | $ 207M 6.14M Shares | $ 81.4M 2.41M Shares | $ 289M 8.54M Shares | $48.8M 1.44M Shares | |
|
EVTC
|
$ 244M 7.79M Shares | $ 151M 4.83M Shares | $ 395M 12.6M Shares | $ 154M 4.91M Shares | $ 54.6M 1.74M Shares | $ 208M 6.65M Shares | $187M 5.97M Shares | |
|
PZZA
|
$ 244M 3.48M Shares | $ 229M 3.28M Shares | $ 473M 6.76M Shares | $ 24.4M 348K Shares | $ 337M 4.82M Shares | $ 362M 5.17M Shares | $112M 1.59M Shares | |
|
SCHB
|
$ 244M 5.81M Shares | $ 120M 2.86M Shares | $ 364M 8.67M Shares | $ 489K 11.6K Shares | $ 351M 8.36M Shares | $ 352M 8.37M Shares | $12.3M 292K Shares | |
|
TALO
|
$ 243M 14.6M Shares | $ 209M 12.5M Shares | $ 452M 27.1M Shares | $ 1.64M 98.5K Shares | $ 101M 6.05M Shares | $ 102M 6.15M Shares | $350M 21M Shares | |
|
XMTR
|
$ 243M 4.28M Shares | $ 400M 7.05M Shares | $ 643M 11.3M Shares | $ 0 0 Shares | $ 374M 6.59M Shares | $ 374M 6.59M Shares | $269M 4.73M Shares | |
|
BKU
|
$ 243M 7.1M Shares | $ 70.8M 2.07M Shares | $ 313M 9.17M Shares | $ 0 0 Shares | $ 383M 11.2M Shares | $ 383M 11.2M Shares | $-69.7M -2.04M Shares | |
|
SCHX
|
$ 243M 5.73M Shares | $ 1.36B 32.1M Shares | $ 1.6B 37.8M Shares | $ 342K 8.1K Shares | $ 222M 5.23M Shares | $ 222M 5.24M Shares | $1.38B 32.6M Shares | |
|
HDB
|
$ 242M 4.14M Shares | $ 954M 16.3M Shares | $ 1.2B 20.5M Shares | $ 6.81M 117K Shares | $ 1.06B 18.1M Shares | $ 1.06B 18.2M Shares | $133M 2.27M Shares | |
|
LHCG
|
$ 241M 1.48M Shares | $ 287M 1.75M Shares | $ 529M 3.23M Shares | $ 0 0 Shares | $ 529M 3.23M Shares | $ 529M 3.23M Shares | $79K 483 Shares | |
|
COUP
|
$ 241M 4.11M Shares | $ 402M 6.83M Shares | $ 643M 10.9M Shares | $ 306K 5.22K Shares | $ 509M 8.66M Shares | $ 509M 8.66M Shares | $134M 2.27M Shares | |
|
SJR
|
$ 241M 9.91M Shares | $ 554M 22.8M Shares | $ 795M 32.7M Shares | $ 0 0 Shares | $ 690M 28.4M Shares | $ 690M 28.4M Shares | $105M 4.32M Shares | |
|
PLRX
|
$ 240M 11.5M Shares | $ 161M 7.71M Shares | $ 401M 19.2M Shares | $ 0 0 Shares | $ 75.2M 3.6M Shares | $ 75.2M 3.6M Shares | $326M 15.6M Shares | |
|
DSGX
|
$ 240M 3.77M Shares | $ 226M 3.55M Shares | $ 465M 7.32M Shares | $ 0 0 Shares | $ 388M 6.11M Shares | $ 388M 6.11M Shares | $77.2M 1.22M Shares | |
|
IWF
|
$ 238M 1.13M Shares | $ 1.12B 5.33M Shares | $ 1.36B 6.46M Shares | $ 20.1M 95.4K Shares | $ 1.36B 6.45M Shares | $ 1.38B 6.54M Shares | $-17.6M -83.8K Shares | |
|
SEDG
|
$ 238M 1.03M Shares | $ 663M 2.86M Shares | $ 901M 3.89M Shares | $ 593K 2.57K Shares | $ 746M 3.22M Shares | $ 747M 3.23M Shares | $154M 666K Shares | |
|
BSV
|
$ 238M 3.18M Shares | $ 3.65B 48.8M Shares | $ 3.89B 52M Shares | $ 12.1M 162K Shares | $ 2.69B 36M Shares | $ 2.7B 36.1M Shares | $1.18B 15.8M Shares | |
|
BECN
|
$ 237M 4.34M Shares | $ 113M 2.06M Shares | $ 350M 6.4M Shares | $ 372K 6.8K Shares | $ 369M 6.75M Shares | $ 370M 6.76M Shares | $-19.6M -358K Shares | |
|
DXCM
|
$ 237M 2.94M Shares | $ 1.5B 18.6M Shares | $ 1.73B 21.5M Shares | $ 4K 50 Shares | $ 1.38B 17.1M Shares | $ 1.38B 17.1M Shares | $354M 4.39M Shares | |
|
INTC
|
$ 237M 9.2M Shares | $ 3.41B 132M Shares | $ 3.65B 141M Shares | $ 6.22M 241K Shares | $ 4.4B 171M Shares | $ 4.41B 171M Shares | $-761M -29.5M Shares | |