Top Companies Added as New Holdings by Institutions in Q3 2022
| Ticker | Buy | Sell | Net Activity | |||||
|---|---|---|---|---|---|---|---|---|
| New Holding | Increment | Total | Sold Out | Reduction | Total | |||
|
BBLN
|
$ 18M 38.3M Shares | $ 278K 593K Shares | $ 18.3M 38.9M Shares | $ 1.25M 2.66M Shares | $ 545K 1.16M Shares | $ 1.79M 3.82M Shares | $16.5M 35.1M Shares | |
|
BRCC
|
$ 18M 2.33M Shares | $ 56.5M 7.31M Shares | $ 74.5M 9.64M Shares | $ 0 0 Shares | $ 8.94M 1.16M Shares | $ 8.94M 1.16M Shares | $65.6M 8.48M Shares | |
|
NRIX
|
$ 18M 1.38M Shares | $ 45.3M 3.48M Shares | $ 63.3M 4.86M Shares | $ 426K 32.8K Shares | $ 35.1M 2.69M Shares | $ 35.5M 2.73M Shares | $27.8M 2.13M Shares | |
|
INVA
|
$ 18M 1.55M Shares | $ 62.4M 5.38M Shares | $ 80.4M 6.92M Shares | $ 1K 100 Shares | $ 64.3M 5.54M Shares | $ 64.4M 5.54M Shares | $16M 1.38M Shares | |
|
HYLN
|
$ 18M 6.26M Shares | $ 8.81M 3.07M Shares | $ 26.8M 9.33M Shares | $ 0 0 Shares | $ 8.18M 2.85M Shares | $ 8.18M 2.85M Shares | $18.6M 6.48M Shares | |
|
IJJ
|
$ 17.9M 199K Shares | $ 473M 5.26M Shares | $ 491M 5.46M Shares | $ 5.61M 62.3K Shares | $ 285M 3.16M Shares | $ 290M 3.23M Shares | $201M 2.23M Shares | |
|
TGH
|
$ 17.9M 667K Shares | $ 34.7M 1.29M Shares | $ 52.6M 1.96M Shares | $ 0 0 Shares | $ 33.2M 1.23M Shares | $ 33.2M 1.23M Shares | $19.4M 722K Shares | |
|
MOD
|
$ 17.9M 1.38M Shares | $ 36.2M 2.8M Shares | $ 54.1M 4.18M Shares | $ 0 0 Shares | $ 35M 2.7M Shares | $ 35M 2.7M Shares | $19.1M 1.47M Shares | |
|
GDRX
|
$ 17.9M 3.83M Shares | $ 34.3M 7.33M Shares | $ 52.1M 11.2M Shares | $ 0 0 Shares | $ 105M 22.5M Shares | $ 105M 22.5M Shares | $-52.9M -11.3M Shares | |
|
KOS
|
$ 17.9M 3.45M Shares | $ 173M 33.5M Shares | $ 191M 37M Shares | $ 40K 7.8K Shares | $ 172M 33.3M Shares | $ 172M 33.3M Shares | $18.7M 3.61M Shares | |
|
AADI
|
$ 17.9M 1.26M Shares | $ 39.6M 2.81M Shares | $ 57.5M 4.07M Shares | $ 0 0 Shares | $ 9.99M 707K Shares | $ 9.99M 707K Shares | $47.5M 3.36M Shares | |
|
BLBD
|
$ 17.8M 2.14M Shares | $ 1.32M 158K Shares | $ 19.2M 2.3M Shares | $ 0 0 Shares | $ 4.24M 508K Shares | $ 4.24M 508K Shares | $14.9M 1.79M Shares | |
|
SPLB
|
$ 17.8M 819K Shares | $ 89.5M 4.11M Shares | $ 107M 4.93M Shares | $ 5K 269 Shares | $ 43.7M 2.01M Shares | $ 43.7M 2.01M Shares | $63.6M 2.92M Shares | |
|
ALKT
|
$ 17.8M 1.18M Shares | $ 70.9M 4.71M Shares | $ 88.7M 5.89M Shares | $ 0 0 Shares | $ 29.1M 1.94M Shares | $ 29.1M 1.94M Shares | $59.5M 3.96M Shares | |
|
AINV
|
$ 17.8M 1.6M Shares | $ 10.6M 957K Shares | $ 28.4M 2.55M Shares | $ 2K 259 Shares | $ 9.67M 870K Shares | $ 9.67M 870K Shares | $18.7M 1.69M Shares | |
|
PWSC
|
$ 17.7M 1.06M Shares | $ 77.4M 4.64M Shares | $ 95.1M 5.7M Shares | $ 1.57M 93.8K Shares | $ 107M 6.4M Shares | $ 108M 6.49M Shares | $-13.2M -793K Shares | |
|
RNST
|
$ 17.7M 567K Shares | $ 43.3M 1.39M Shares | $ 61.1M 1.95M Shares | $ 290K 9.3K Shares | $ 46.2M 1.48M Shares | $ 46.5M 1.49M Shares | $14.6M 467K Shares | |
|
LSPD
|
$ 17.7M 1.01M Shares | $ 141M 8M Shares | $ 158M 9.01M Shares | $ 108K 6.17K Shares | $ 55.7M 3.17M Shares | $ 55.9M 3.18M Shares | $102M 5.83M Shares | |
|
BCPC
|
$ 17.7M 145K Shares | $ 161M 1.32M Shares | $ 179M 1.47M Shares | $ 2.73M 22.5K Shares | $ 78.4M 645K Shares | $ 81.1M 667K Shares | $97.4M 801K Shares | |
|
EUSB
|
$ 17.7M 418K Shares | $ 15.5M 366K Shares | $ 33.1M 785K Shares | $ 0 0 Shares | $ 50.9M 1.21M Shares | $ 50.9M 1.21M Shares | $-17.7M -421K Shares | |
|
BLV
|
$ 17.7M 245K Shares | $ 103M 1.43M Shares | $ 121M 1.68M Shares | $ 544K 7.57K Shares | $ 63.8M 886K Shares | $ 64.3M 894K Shares | $56.3M 782K Shares | |
|
SDIV
|
$ 17.6M 780K Shares | $ 37.2M 1.64M Shares | $ 54.8M 2.42M Shares | $ 311K 13.8K Shares | $ 9.15M 405K Shares | $ 9.46M 418K Shares | $45.4M 2.01M Shares | |
|
FTEC
|
$ 17.6M 194K Shares | $ 33M 363K Shares | $ 50.6M 556K Shares | $ 5.75M 63.2K Shares | $ 78.3M 861K Shares | $ 84M 924K Shares | $-33.4M -368K Shares | |
|
CPG
|
$ 17.6M 2.86M Shares | $ 119M 19.4M Shares | $ 137M 22.2M Shares | $ 0 0 Shares | $ 125M 20.3M Shares | $ 125M 20.3M Shares | $12M 1.94M Shares | |
|
VSTA
|
$ 17.6M 3.35M Shares | $ 588K 112K Shares | $ 18.2M 3.46M Shares | $ 17.3M 3.29M Shares | $ 2.49M 475K Shares | $ 19.8M 3.77M Shares | $-1.62M -308K Shares | |
|
FLNG
|
$ 17.5M 554K Shares | $ 88.9M 2.81M Shares | $ 106M 3.36M Shares | $ 373K 11.8K Shares | $ 53.4M 1.68M Shares | $ 53.7M 1.7M Shares | $52.7M 1.66M Shares | |
|
PIPP
|
$ 17.5M 1.76M Shares | $ 14.4M 1.45M Shares | $ 32M 3.21M Shares | $ 0 0 Shares | $ 3.66M 367K Shares | $ 3.66M 367K Shares | $28.3M 2.84M Shares | |
|
DNP
|
$ 17.5M 1.69M Shares | $ 13.3M 1.29M Shares | $ 30.8M 2.98M Shares | $ 8K 800 Shares | $ 8.15M 787K Shares | $ 8.16M 788K Shares | $22.7M 2.19M Shares | |
|
SRRK
|
$ 17.5M 2.71M Shares | $ 16.3M 2.53M Shares | $ 33.8M 5.24M Shares | $ 0 0 Shares | $ 24.2M 3.76M Shares | $ 24.2M 3.76M Shares | $9.58M 1.48M Shares | |
|
EWP
|
$ 17.4M 848K Shares | $ 58.5M 2.84M Shares | $ 75.9M 3.69M Shares | $ 0 0 Shares | $ 5.97M 290K Shares | $ 5.97M 290K Shares | $69.9M 3.4M Shares | |
|
UNIT
|
$ 17.4M 2.5M Shares | $ 65.1M 9.36M Shares | $ 82.5M 11.9M Shares | $ 1.8M 259K Shares | $ 73M 10.5M Shares | $ 74.8M 10.8M Shares | $7.74M 1.11M Shares | |
|
FACA
|
$ 17.4M 1.77M Shares | $ 21M 2.13M Shares | $ 38.4M 3.9M Shares | $ 0 0 Shares | $ 9.03M 917K Shares | $ 9.03M 917K Shares | $29.3M 2.98M Shares | |
|
SMRT
|
$ 17.4M 7.65M Shares | $ 37.8M 16.7M Shares | $ 55.2M 24.3M Shares | $ 0 0 Shares | $ 1.36M 601K Shares | $ 1.36M 601K Shares | $53.8M 23.7M Shares | |
|
PACK
|
$ 17.4M 5.08M Shares | $ 15M 4.39M Shares | $ 32.4M 9.47M Shares | $ 122K 35.9K Shares | $ 24.3M 7.1M Shares | $ 24.4M 7.13M Shares | $8M 2.34M Shares | |
|
DMXF
|
$ 17.4M 369K Shares | $ 11.2M 239K Shares | $ 28.6M 609K Shares | $ 0 0 Shares | $ 696K 14.8K Shares | $ 696K 14.8K Shares | $27.9M 594K Shares | |
|
MYRG
|
$ 17.3M 205K Shares | $ 26.3M 310K Shares | $ 43.6M 514K Shares | $ 459K 5.43K Shares | $ 59.3M 700K Shares | $ 59.8M 706K Shares | $-16.2M -191K Shares | |
|
EC
|
$ 17.3M 1.94M Shares | $ 33.7M 3.77M Shares | $ 51M 5.71M Shares | $ 7.33M 821K Shares | $ 19.7M 2.21M Shares | $ 27M 3.03M Shares | $24M 2.69M Shares | |
|
SGOL
|
$ 17.3M 1.1M Shares | $ 71M 4.51M Shares | $ 88.3M 5.61M Shares | $ 3.1M 197K Shares | $ 63M 4M Shares | $ 66.1M 4.2M Shares | $22.1M 1.41M Shares | |
|
ADCT
|
$ 17.3M 3.59M Shares | $ 3.4M 706K Shares | $ 20.7M 4.29M Shares | $ 139K 28.9K Shares | $ 9.38M 1.95M Shares | $ 9.52M 1.97M Shares | $11.2M 2.32M Shares | |
|
VLY
|
$ 17.3M 1.6M Shares | $ 117M 10.8M Shares | $ 134M 12.4M Shares | $ 1K 154 Shares | $ 90.5M 8.38M Shares | $ 90.5M 8.38M Shares | $43.9M 4.07M Shares | |
|
ADPT
|
$ 17.3M 2.43M Shares | $ 60.6M 8.52M Shares | $ 77.9M 10.9M Shares | $ 1K 200 Shares | $ 87.1M 12.2M Shares | $ 87.1M 12.2M Shares | $-9.22M -1.29M Shares | |
|
IDCC
|
$ 17.2M 426K Shares | $ 48.5M 1.2M Shares | $ 65.8M 1.63M Shares | $ 874K 21.6K Shares | $ 69.9M 1.73M Shares | $ 70.8M 1.75M Shares | $-5.01M -124K Shares | |
|
HOLI
|
$ 17.2M 1.01M Shares | $ 38.3M 2.24M Shares | $ 55.5M 3.24M Shares | $ 0 0 Shares | $ 45.6M 2.67M Shares | $ 45.6M 2.67M Shares | $9.86M 576K Shares | |
|
EVRI
|
$ 17.2M 1.06M Shares | $ 91.2M 5.63M Shares | $ 108M 6.69M Shares | $ 0 0 Shares | $ 107M 6.61M Shares | $ 107M 6.61M Shares | $1.27M 78.3K Shares | |
|
CRU
|
$ 17.2M 1.73M Shares | $ 18.6M 1.87M Shares | $ 35.8M 3.6M Shares | $ 0 0 Shares | $ 15.3M 1.53M Shares | $ 15.3M 1.53M Shares | $20.5M 2.06M Shares | |
|
AB
|
$ 17.2M 490K Shares | $ 45.6M 1.3M Shares | $ 62.8M 1.79M Shares | $ 82K 2.34K Shares | $ 10.2M 291K Shares | $ 10.3M 293K Shares | $52.5M 1.5M Shares | |
|
MCRB
|
$ 17.1M 2.67M Shares | $ 158M 24.5M Shares | $ 175M 27.2M Shares | $ 348K 54.2K Shares | $ 17.2M 2.69M Shares | $ 17.6M 2.74M Shares | $157M 24.5M Shares | |
|
SMFG
|
$ 17.1M 3.11M Shares | $ 43.8M 7.97M Shares | $ 61M 11.1M Shares | $ 4K 800 Shares | $ 67.9M 12.3M Shares | $ 67.9M 12.4M Shares | $-6.96M -1.27M Shares | |
|
TWO
|
$ 17.1M 5.14M Shares | $ 16.8M 5.05M Shares | $ 33.8M 10.2M Shares | $ 1.75M 527K Shares | $ 30M 9.05M Shares | $ 31.8M 9.58M Shares | $2.05M 617K Shares | |
|
CNS
|
$ 17M 272K Shares | $ 25.6M 409K Shares | $ 42.6M 680K Shares | $ 51.5M 822K Shares | $ 44.1M 705K Shares | $ 95.6M 1.53M Shares | $-53M -846K Shares | |