Quarterly Top Stocks Bought by Hedge Funds in Dollar Amount - 2013Q4

  • Institutional investors with $100 million or more in assets are required to report their portfolio holdings on a quarterly basis within 45 days of the end of a calendar quarter.
  • The stock lists for the most recent quarter are calculated based on the quarterly holding reports filed by all institutional investors as of today, 2024-05-09.
Goto Prev, 2024Q1, 2023Q4, ..., 2014Q2, 2014Q1, 2013Q4
# Name
(Symbol>
Purchased
Price
Recent
Price
% Gain
Or Loss
Market Cap Money
Flow
Flow Percent
Of Market Cap
Total % Owned
By Institutions
Avg Volume Sector
1 GENERAL MOTORS COMPANY
GM
$40.87 $45.05 10.23% $55.95B $9.46B 16.91% 85.94% 15,802,547 Consumer Cyclical
2 AMBEV S A SPONSORED ADR
ABEV
$7.35 $2.37 -67.76% $116.41B $8.29B 7.12% 7.14% 13,222,331 Consumer Defensive
3 AMERICAN AIRLINES GROUP INC CO
AAL
$25.25 $14.42 -42.89% $18.17B $6.27B 34.48% 34.48% 30,717,603 Industrials
4 BRIXMOR PPTY GROUP INC
BRX
$20.33 $22.14 8.90% $6.15B $4.7B 76.39% 76.39% 2,666,504 Real Estate
5 INTERCONTINENTAL EXCHANGE INC
ICE
$44.98 $133.39 196.53% $127.08B $4.61B 3.63% 18.04% 2,469,867 Financial Services
6 ARAMARK
ARMK
$18.93 $31.86 68.29% $6.89B $4.36B 63.35% 63.35% 2,492,237 Industrials
7 GAMING & LEISURE PPTYS INC
GLPI
$50.81 $44.02 -13.36% $13.79B $4.08B 29.55% 29.55% 1,418,565 Real Estate
8 SPIRIT AEROSYSTEMS HLDGS INC C
SPR
$34.08 $30.90 -9.33% $3.96B $3.66B 92.45% 93.37% 3,194,421 Industrials
9 COMMSCOPE HLDG CO INC
COMM
$18.93 $1.05 -94.45% $4.02B $3.45B 85.75% 85.75% 3,470,450 Technology
10 ALLEGION PUB LTD CO
ALLE
$44.19 $124.13 180.90% $3.9B $3.37B 86.29% 86.29% 726,790 Industrials
11 ANTERO RESOURCES CORPORATION C
AR
$63.44 $34.02 -46.37% $19.77B $2.81B 14.19% 14.19% 5,055,780 Energy
12 T-MOBILE US INC
TMUS
$33.64 $162.83 384.04% $40.38B $2.64B 6.55% 20.60% 4,376,663 Communication Services
13 EXXON MOBIL CORPORATION
XOM
$101.20 $116.15 14.77% $410.06B $2.61B 0.64% 48.84% 18,658,418 Energy
14 CONTAINER STORE GROUP INC
TCS
$46.61 $0.88 -98.10% $2.36B $1.95B 82.48% 82.48% 241,009 Consumer Cyclical
15 TRANSOCEAN LTD
RIG
$49.42 $5.75 -88.36% $40.5B $1.9B 4.69% 25.86% 19,087,891 Energy
16 LEIDOS HLDGS INC
LDOS
$46.49 $145.50 212.97% $6.42B $1.83B 28.56% 35.79% 1,017,408 Technology
17 CNH INDUSTRIAL N V COM SHS
CNHI
$11.35 $11.65 2.64% $15.32B $1.75B 11.41% 13.59% 11,025,344 Industrials
18 PROCTER & GAMBLE
PG
$81.41 $165.07 102.76% $202.21B $1.65B 0.82% 65.61% 6,286,532 Consumer Defensive
19 ESSENT GROUP LTD COM SHS
ESNT
$24.06 $56.01 132.79% $2.58B $1.62B 62.73% 62.73% 561,531 Financial Services
20 GOLDMAN SACHS GROUP INC
GS
$177.26 $446.95 152.14% $61.3B $1.53B 2.50% 90.77% 2,358,872 Financial Services
21 EMPIRE ST RLTY TR INC
ESRT
$15.30 $9.42 -38.43% $4.06B $1.4B 34.55% 34.55% 1,054,072 Real Estate
22 CITIGROUP
C
$52.11 $62.75 20.42% $101.92B $1.38B 1.35% 107.76% 15,059,452 Financial Services
23 MID-AMERICAN APARTMENT COMMUN
MAA
$60.74 $132.99 118.95% $7.09B $1.36B 19.11% 59.76% 772,545 Real Estate
24 MOSAIC COMPANY
MOS
$47.27 $29.57 -37.44% $15.75B $1.22B 7.73% 81.98% 5,054,122 Basic Materials
25 SIMON PROPERTIES GROUP INC
SPG
$143.14 $147.88 3.31% $49.73B $1.2B 2.40% 94.71% 1,451,677 Real Estate
26 VERIZON COMMUNICATIONS
VZ
$49.14 $39.48 -19.66% $207.12B $1.19B 0.57% 39.20% 18,073,406 Communication Services
27 NAVIGATOR HOLDINGS LTD.
NVGS
$26.94 $16.29 -39.53% $2.01B $1.15B 57.30% 57.30% 148,809 Energy
28 DARLING INGREDIENTS INC
DAR
$20.88 $44.29 112.12% $3.39B $1.1B 32.50% 100.97% 2,071,247 Consumer Defensive
29 PREMIER INC CLASS A
PINC
$36.76 $19.61 -46.65% $4.41B $1.07B 24.31% 28.18% 1,768,847 Healthcare
30 NEXTERA ENERGY INC
NEE
$21.41 $72.85 240.34% $175.91B $1.06B 0.60% 15.30% 12,463,039 Utilities
31 BAIDU INC SPON ADR RPTNG
BIDU
$177.88 $109.60 -38.39% $504.65B $1.03B 0.20% 7.91% 3,497,081 Communication Services
32 BRISTOL MYERS SQUIBB COMPANY
BMY
$53.15 $43.67 -17.84% $110.45B $1.02B 0.92% 55.58% 15,555,657 Healthcare
33 VISA INC CLASS A COM
V
$55.67 $277.19 397.92% $464.29B $907.21M 0.20% 21.50% 5,994,618 Financial Services
34 JPMORGAN CHASE & CO
JPM
$58.48 $195.65 234.56% $172.11B $876.41M 0.51% 94.47% 8,824,814 Financial Services
35 TEVA PHARMACEUTICAL LTD INDS A
TEVA
$40.08 $15.74 -60.73% $44.93B $872.18M 1.94% 40.57% 9,288,291 Healthcare
36 DEUTSCHE BANK AG NAMEN AKT
DB
$46.02 $17.26 -62.50% $101.48B $868.84M 0.86% 7.91% 3,395,837 Financial Services
37 BERKSHIRE HATHWY INCB
BRK-B
$118.56 $406.37 242.76% $257.67B $798.66M 0.31% 35.46% 3,371,754 Financial Services
38 OPENLANE, INC.
KAR
$11.18 $17.68 58.07% $3.22B $779.94M 24.19% 132.58% 863,126 Consumer Cyclical
39 TESLA INC
TSLA
$10.03 $174.72 1,642.49% $524.16B $761.38M 0.15% 2.11% 100,985,154 Consumer Cyclical
40 VORNADO REALTY TRUST
VNO
$64.96 $23.71 -63.50% $17.03B $750.44M 4.41% 92.20% 2,118,908 Real Estate
41 INTEL CORP
INTC
$25.96 $30.00 15.58% $110.49B $742.23M 0.67% 75.00% 49,730,257 Technology
42 COOPER STD HLDGS INC
CPS
$49.11 $14.31 -70.86% $852.32M $738.18M 86.61% 86.97% 158,645 Consumer Cyclical
43 GRUPO AEROPORT ADS
ASR
$124.63 $343.50 175.62% $37.39B $737.46M 1.97% 3.49% 42,588 Industrials
44 WESTERN DIGITAL CORP
WDC
$83.90 $72.04 -14.14% $27.4B $720.27M 2.63% 61.67% 6,845,103 Technology
45 AUTOHOME INC ADR REPST 4
ATHM
$36.59 $28.46 -22.22% $4.49B $685.61M 15.26% 15.26% 399,198 Communication Services
46 EASTMAN KODAK COMPANY N
KODK
$34.71 $4.66 -86.57% $3.14B $683.21M 21.75% 21.75% 1,348,827 Industrials
47 THE AES CORPORATION
AES
$14.51 $19.37 33.49% $10.33B $656.17M 6.35% 86.23% 9,384,686 Utilities
48 COMCAST CORP
CMCSA
$25.98 $39.05 50.29% $215.55B $643.86M 0.30% 42.88% 21,833,052 Communication Services
49 EXELON CORPORATION
EXC
$19.56 $37.82 93.31% $27.38B $619.49M 2.26% 61.25% 6,486,700 Utilities
50 ABBOTT LABS
ABT
$38.33 $104.94 173.78% $67.04B $566.86M 0.85% 60.27% 5,597,521 Healthcare
51 UNILEVER PLC ADS
UL
$41.20 $52.69 27.89% $104.33B $564.5M 0.54% 4.44% 2,822,293 Consumer Defensive
52 VEEVA SYSTEMS INC
VEEV
$32.10 $201.77 528.57% $5.25B $549.09M 10.46% 10.46% 937,518 Healthcare
53 EQUITY RESIDENTIAL
EQR
$51.87 $66.10 27.43% $20.28B $548.82M 2.71% 93.98% 1,971,037 Real Estate
54 FEDERAL NATIONAL MORTGAGE ASSO
FNMAS
$8.75 $4.47 -48.93% $51.57B $540.38M 1.05% 1.05% 469,702 Financial Services
55 SCIENCE APPLICATIONS INTL CORP
SAIC
$33.07 $133.70 304.30% $1.78B $535.94M 30.18% 47.64% 307,668 Technology
56 WAL-MART INC
WMT
$26.23 $60.30 129.89% $638.02B $526.13M 0.08% 11.96% 18,569,945 Consumer Defensive
57 CREDICORP LTD
BAP
$127.75 $176.16 37.90% $10.57B $523.73M 4.95% 58.94% 255,652 Financial Services
58 CONTROLADORA VUELA COMPANIA DE
VLRS
$13.55 $8.33 -38.52% $1.58B $520.12M 32.94% 33.20% 504,460 Industrials
59 U.S.BANCORP
USB
$40.40 $41.69 3.19% $62.96B $514.04M 0.82% 84.43% 7,964,791 Financial Services
60 ILLUMINA INC.
ILMN
$110.59 $110.62 0.03% $17.57B $504.82M 2.87% 91.08% 1,656,852 Healthcare
61 SPROUTS FMRS MKT INC
SFM
$38.43 $74.66 94.27% $3.97B $499.07M 12.56% 92.01% 1,493,273 Consumer Defensive
62 VIPSHOP HLDGS LTD SPONSORED AD
VIPS
$8.37 $15.92 90.25% $47.09B $487.07M 1.03% 3.88% 3,973,614 Consumer Cyclical
63 YELP INC
YELP
$68.95 $39.23 -43.10% $5.07B $483.17M 9.52% 73.40% 809,919 Communication Services
64 ELECTRONIC ARTS INC
EA
$22.94 $125.24 445.95% $6.38B $480.76M 7.54% 115.46% 2,106,057 Technology
65 ELI LILLY AND CO
LLY
$51.00 $775.00 1,419.61% $48.47B $480.08M 0.99% 86.25% 2,917,136 Healthcare
66 BUNGE GLOBAL SA SHS
BG
$82.11 $105.36 28.32% $12.38B $478.4M 3.86% 72.47% 1,693,603 Consumer Defensive
67 CATERPILLAR INC
CAT
$90.81 $344.50 279.36% $46.64B $477.55M 1.02% 78.52% 2,335,791 Industrials
68 WIX.COM LTD
WIX
$26.85 $121.11 351.06% $1.57B $477.36M 30.44% 30.44% 506,565 Technology
69 DARDEN RESTAURANTS INC
DRI
$48.60 $147.98 204.48% $6.68B $456.28M 6.83% 88.93% 1,270,513 Consumer Cyclical
70 NMI HLDGS INC
NMIH
$12.73 $33.42 162.53% $1.07B $450.35M 42.19% 42.19% 604,108 Financial Services
71 GUIDEWIRE SOFTWARE INC
GWRE
$49.07 $116.09 136.58% $4.09B $445.73M 10.90% 76.83% 578,672 Technology
72 COSTCO WHOLESALE CORP-
COST
$119.02 $763.41 541.42% $52.9B $445.61M 0.84% 74.36% 2,005,060 Consumer Defensive
73 CRITEO S A SPONSORED ADS
CRTO
$34.20 $37.30 9.07% $2.06B $435.61M 21.15% 21.15% 271,568 Communication Services
74 PUBLIC STORAGE
PSA
$150.52 $269.02 78.73% $26.51B $427.58M 1.61% 78.03% 728,267 Real Estate
75 SP PLUS
SP
$26.04 $51.53 97.89% $515.56M $426.09M 82.65% 82.65% 177,472 Industrials
76 THE WESTERN UNION COMPANY
WU
$17.25 $13.37 -22.49% $6.41B $419.79M 6.55% 148.14% 4,079,027 Financial Services
77 FORD MOTOR CO
F
$15.43 $12.15 -21.26% $62.35B $409.19M 0.66% 53.76% 50,641,178 Consumer Cyclical
78 ENTERPRISE PRODS PARTNERS LP
EPD
$33.15 $28.39 -14.36% $145.46B $406.9M 0.28% 12.27% 4,715,542 Energy
79 UDR INC
UDR
$23.35 $38.27 63.90% $7.69B $405.46M 5.27% 77.49% 2,796,965 Real Estate
80 COCA-COLA CO
KO
$41.31 $62.85 52.14% $179.24B $402.47M 0.22% 61.78% 13,916,788 Consumer Defensive
81 PROLOGIS, INC
PLD
$36.95 $105.88 186.55% $36.03B $397.56M 1.10% 53.19% 3,694,836 Real Estate
82 THERMO FISHER SCIENTIFIC INC.
TMO
$111.35 $573.64 415.17% $43.2B $395.44M 0.92% 92.48% 1,346,978 Healthcare
83 VENTAS INC
VTR
$65.41 $47.44 -27.47% $23.05B $395.24M 1.71% 72.40% 2,521,886 Real Estate
84 FASTENAL CO
FAST
$23.75 $66.78 181.12% $27.22B $389.72M 1.43% 43.61% 3,678,300 Industrials
85 INTUITIVE SURGICAL INC
ISRG
$42.68 $380.37 791.31% $137.27B $389.55M 0.28% 9.82% 1,473,478 Healthcare
Goto Prev, 2024Q1, 2023Q4, ..., 2014Q2, 2014Q1, 2013Q4