Top Companies Added as New Holdings by Institutions in Q3 2022
| Ticker | Buy | Sell | Net Activity | |||||
|---|---|---|---|---|---|---|---|---|
| New Holding | Increment | Total | Sold Out | Reduction | Total | |||
|
ECL
|
$ 201M 1.39M Shares | $ 1.33B 9.2M Shares | $ 1.53B 10.6M Shares | $ 18.9M 131K Shares | $ 1.07B 7.44M Shares | $ 1.09B 7.57M Shares | $437M 3.03M Shares | |
|
CALM
|
$ 201M 3.62M Shares | $ 305M 5.49M Shares | $ 506M 9.11M Shares | $ 90K 1.62K Shares | $ 391M 7.04M Shares | $ 392M 7.04M Shares | $115M 2.06M Shares | |
|
K
|
$ 200M 2.87M Shares | $ 712M 10.2M Shares | $ 912M 13.1M Shares | $ 9.75M 140K Shares | $ 1.09B 15.6M Shares | $ 1.1B 15.8M Shares | $-186M -2.66M Shares | |
|
GLBE
|
$ 200M 7.48M Shares | $ 298M 11.1M Shares | $ 498M 18.6M Shares | $ 40.2M 1.5M Shares | $ 243M 9.08M Shares | $ 283M 10.6M Shares | $215M 8.04M Shares | |
|
TRP
|
$ 200M 4.96M Shares | $ 2.64B 65.5M Shares | $ 2.84B 70.4M Shares | $ 166K 4.13K Shares | $ 1.72B 42.6M Shares | $ 1.72B 42.6M Shares | $1.12B 27.9M Shares | |
|
KMI
|
$ 200M 12M Shares | $ 1.21B 72.6M Shares | $ 1.41B 84.6M Shares | $ 7.37M 443K Shares | $ 945M 56.8M Shares | $ 953M 57.3M Shares | $455M 27.3M Shares | |
|
SSNC
|
$ 198M 4.15M Shares | $ 971M 20.3M Shares | $ 1.17B 24.5M Shares | $ 3.14M 65.7K Shares | $ 1.1B 23M Shares | $ 1.1B 23.1M Shares | $66.4M 1.39M Shares | |
|
PEAK
|
$ 197M 8.6M Shares | $ 637M 27.8M Shares | $ 834M 36.4M Shares | $ 0 0 Shares | $ 1.02B 44.6M Shares | $ 1.02B 44.6M Shares | $-189M -8.26M Shares | |
|
CF
|
$ 197M 2.05M Shares | $ 887M 9.21M Shares | $ 1.08B 11.3M Shares | $ 0 0 Shares | $ 1.6B 16.7M Shares | $ 1.6B 16.7M Shares | $-521M -5.41M Shares | |
|
RXDX
|
$ 197M 3.34M Shares | $ 294M 4.98M Shares | $ 490M 8.31M Shares | $ 0 0 Shares | $ 217M 3.67M Shares | $ 217M 3.67M Shares | $274M 4.64M Shares | |
|
IBM
|
$ 197M 1.65M Shares | $ 2.43B 20.4M Shares | $ 2.63B 22.1M Shares | $ 28.7M 241K Shares | $ 1.14B 9.63M Shares | $ 1.17B 9.87M Shares | $1.45B 12.2M Shares | |
|
KHC
|
$ 196M 5.89M Shares | $ 2.22B 66.6M Shares | $ 2.42B 72.5M Shares | $ 31.9M 958K Shares | $ 875M 26.2M Shares | $ 906M 27.2M Shares | $1.51B 45.3M Shares | |
|
THG
|
$ 196M 1.53M Shares | $ 182M 1.42M Shares | $ 378M 2.95M Shares | $ 47.6M 371K Shares | $ 266M 2.08M Shares | $ 314M 2.45M Shares | $64.2M 501K Shares | |
|
CAR
|
$ 196M 1.32M Shares | $ 285M 1.92M Shares | $ 481M 3.24M Shares | $ 0 0 Shares | $ 785M 5.29M Shares | $ 785M 5.29M Shares | $-304M -2.05M Shares | |
|
MKC
|
$ 196M 2.75M Shares | $ 524M 7.35M Shares | $ 719M 10.1M Shares | $ 48.4M 679K Shares | $ 331M 4.64M Shares | $ 379M 5.32M Shares | $340M 4.77M Shares | |
|
DIA
|
$ 196M 681K Shares | $ 686M 2.39M Shares | $ 882M 3.07M Shares | $ 2.76M 9.61K Shares | $ 602M 2.1M Shares | $ 605M 2.11M Shares | $276M 962K Shares | |
|
ROAD
|
$ 196M 7.46M Shares | $ 35.8M 1.36M Shares | $ 231M 8.82M Shares | $ 122M 4.64M Shares | $ 59.5M 2.27M Shares | $ 181M 6.91M Shares | $50.2M 1.91M Shares | |
|
DELL
|
$ 195M 5.71M Shares | $ 382M 11.2M Shares | $ 577M 16.9M Shares | $ 7.47M 219K Shares | $ 736M 21.5M Shares | $ 743M 21.7M Shares | $-166M -4.86M Shares | |
|
SNY
|
$ 194M 5.11M Shares | $ 856M 22.5M Shares | $ 1.05B 27.6M Shares | $ 11.2M 293K Shares | $ 1.06B 27.8M Shares | $ 1.07B 28.1M Shares | $-16.9M -445K Shares | |
|
ALKS
|
$ 194M 8.69M Shares | $ 262M 11.7M Shares | $ 456M 20.4M Shares | $ 2K 100 Shares | $ 285M 12.8M Shares | $ 285M 12.8M Shares | $171M 7.66M Shares | |
|
EPRT
|
$ 194M 9.96M Shares | $ 266M 13.7M Shares | $ 460M 23.6M Shares | $ 0 0 Shares | $ 220M 11.3M Shares | $ 220M 11.3M Shares | $240M 12.3M Shares | |
|
AMH
|
$ 194M 5.9M Shares | $ 476M 14.5M Shares | $ 669M 20.4M Shares | $ 150M 4.56M Shares | $ 494M 15.1M Shares | $ 644M 19.6M Shares | $25.5M 776K Shares | |
|
SIVB
|
$ 194M 576K Shares | $ 1.33B 3.95M Shares | $ 1.52B 4.53M Shares | $ 1.51M 4.51K Shares | $ 989M 2.94M Shares | $ 990M 2.95M Shares | $531M 1.58M Shares | |
|
WK
|
$ 193M 2.49M Shares | $ 206M 2.65M Shares | $ 400M 5.14M Shares | $ 0 0 Shares | $ 404M 5.19M Shares | $ 404M 5.19M Shares | $-3.99M -51.3K Shares | |
|
AMLX
|
$ 193M 6.93M Shares | $ 414M 14.8M Shares | $ 607M 21.8M Shares | $ 0 0 Shares | $ 128M 4.61M Shares | $ 128M 4.61M Shares | $478M 17.2M Shares | |
|
RCI
|
$ 193M 5.01M Shares | $ 979M 25.4M Shares | $ 1.17B 30.4M Shares | $ 4.42M 115K Shares | $ 1.3B 33.7M Shares | $ 1.3B 33.8M Shares | $-132M -3.44M Shares | |
|
SUI
|
$ 193M 1.42M Shares | $ 771M 5.7M Shares | $ 964M 7.12M Shares | $ 16K 122 Shares | $ 935M 6.91M Shares | $ 935M 6.91M Shares | $28.3M 209K Shares | |
|
CTVA
|
$ 192M 3.36M Shares | $ 1.33B 23.2M Shares | $ 1.52B 26.5M Shares | $ 8.45M 148K Shares | $ 1.32B 23.1M Shares | $ 1.33B 23.2M Shares | $189M 3.3M Shares | |
|
LNTH
|
$ 191M 2.72M Shares | $ 413M 5.87M Shares | $ 604M 8.59M Shares | $ 565K 8.04K Shares | $ 536M 7.63M Shares | $ 537M 7.63M Shares | $67.3M 957K Shares | |
|
APAM
|
$ 191M 7.09M Shares | $ 92M 3.41M Shares | $ 283M 10.5M Shares | $ 190M 7.05M Shares | $ 59.2M 2.2M Shares | $ 249M 9.25M Shares | $33.8M 1.26M Shares | |
|
MSI
|
$ 191M 851K Shares | $ 1.48B 6.6M Shares | $ 1.67B 7.45M Shares | $ 228M 1.02M Shares | $ 1.37B 6.1M Shares | $ 1.59B 7.12M Shares | $74.7M 333K Shares | |
|
RVLV
|
$ 190M 8.77M Shares | $ 85.3M 3.93M Shares | $ 276M 12.7M Shares | $ 12.7M 585K Shares | $ 92.5M 4.27M Shares | $ 105M 4.85M Shares | $170M 7.85M Shares | |
|
DD
|
$ 190M 3.77M Shares | $ 803M 15.9M Shares | $ 993M 19.7M Shares | $ 10.4M 206K Shares | $ 1.17B 23.2M Shares | $ 1.18B 23.4M Shares | $-186M -3.69M Shares | |
|
AWI
|
$ 189M 2.39M Shares | $ 132M 1.66M Shares | $ 321M 4.05M Shares | $ 141M 1.77M Shares | $ 260M 3.29M Shares | $ 401M 5.06M Shares | $-79.8M -1.01M Shares | |
|
VIXY
|
$ 189M 2.21M Shares | $ 105M 1.23M Shares | $ 294M 3.44M Shares | $ 0 0 Shares | $ 139M 1.63M Shares | $ 139M 1.63M Shares | $155M 1.81M Shares | |
|
BKLN
|
$ 189M 9.36M Shares | $ 203M 10M Shares | $ 392M 19.4M Shares | $ 2.53M 125K Shares | $ 957M 47.4M Shares | $ 960M 47.5M Shares | $-568M -28.1M Shares | |
|
FBK
|
$ 189M 4.95M Shares | $ 53.9M 1.41M Shares | $ 243M 6.36M Shares | $ 34K 894 Shares | $ 230M 6.03M Shares | $ 230M 6.03M Shares | $12.5M 326K Shares | |
|
TSCO
|
$ 189M 1.02M Shares | $ 1.28B 6.86M Shares | $ 1.46B 7.88M Shares | $ 4.81M 25.9K Shares | $ 858M 4.61M Shares | $ 863M 4.64M Shares | $602M 3.24M Shares | |
|
APP
|
$ 189M 9.67M Shares | $ 199M 10.2M Shares | $ 388M 19.9M Shares | $ 81K 4.2K Shares | $ 78.2M 4.01M Shares | $ 78.2M 4.01M Shares | $309M 15.9M Shares | |
|
ANET
|
$ 188M 1.67M Shares | $ 1.85B 16.4M Shares | $ 2.04B 18.1M Shares | $ 700K 6.21K Shares | $ 1.32B 11.7M Shares | $ 1.32B 11.7M Shares | $720M 6.38M Shares | |
|
MNRO
|
$ 188M 4.33M Shares | $ 40.7M 937K Shares | $ 229M 5.27M Shares | $ 908K 20.9K Shares | $ 236M 5.44M Shares | $ 237M 5.46M Shares | $-8.36M -192K Shares | |
|
VTIP
|
$ 188M 3.91M Shares | $ 791M 16.4M Shares | $ 979M 20.4M Shares | $ 1.11M 23.1K Shares | $ 1.47B 30.5M Shares | $ 1.47B 30.6M Shares | $-491M -10.2M Shares | |
|
GM
|
$ 188M 5.86M Shares | $ 1.52B 47.4M Shares | $ 1.71B 53.3M Shares | $ 11.3M 352K Shares | $ 2.63B 82M Shares | $ 2.64B 82.3M Shares | $-932M -29M Shares | |
|
CDNS
|
$ 188M 1.15M Shares | $ 2.19B 13.4M Shares | $ 2.38B 14.5M Shares | $ 0 0 Shares | $ 2.02B 12.4M Shares | $ 2.02B 12.4M Shares | $352M 2.16M Shares | |
|
TFC
|
$ 188M 4.31M Shares | $ 1.62B 37.2M Shares | $ 1.81B 41.5M Shares | $ 864K 19.9K Shares | $ 1.49B 34.2M Shares | $ 1.49B 34.3M Shares | $316M 7.25M Shares | |
|
CARR
|
$ 187M 5.26M Shares | $ 847M 23.8M Shares | $ 1.03B 29.1M Shares | $ 1.12M 31.4K Shares | $ 1.02B 28.7M Shares | $ 1.02B 28.7M Shares | $12.2M 342K Shares | |
|
DXC
|
$ 187M 7.62M Shares | $ 430M 17.6M Shares | $ 617M 25.2M Shares | $ 608K 24.8K Shares | $ 374M 15.3M Shares | $ 375M 15.3M Shares | $242M 9.88M Shares | |
|
STE
|
$ 186M 1.12M Shares | $ 931M 5.6M Shares | $ 1.12B 6.72M Shares | $ 10.4M 62.8K Shares | $ 732M 4.4M Shares | $ 742M 4.46M Shares | $375M 2.25M Shares | |
|
ACI
|
$ 186M 7.49M Shares | $ 910M 36.6M Shares | $ 1.1B 44.1M Shares | $ 0 0 Shares | $ 282M 11.4M Shares | $ 282M 11.4M Shares | $813M 32.7M Shares | |
|
MO
|
$ 186M 4.61M Shares | $ 1.51B 37.3M Shares | $ 1.69B 41.9M Shares | $ 12.4M 308K Shares | $ 2.33B 57.8M Shares | $ 2.34B 58.1M Shares | $-651M -16.1M Shares | |