Quarterly Top Stocks Sold by Hedge Funds in Dollar Amount - 2024Q1

  • 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, 2024-04-27.
Goto 2024Q1, 2023Q4, 2023Q3, ..., 2014Q1, 2013Q4, Next
# 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 MICROSOFT CORP
MSFT
$420.72 $406.32 -3.42% $3.14T -$2.1T -66.79% 3.90% 21,724,728 Technology
2 APPLE INC
AAPL
$171.48 $169.30 -1.27% $2.71T -$1.51T -55.82% 3.17% 61,336,223 Technology
3 NVIDIA CORP
NVDA
$903.56 $877.35 -2.90% $2.26T -$1.4T -62.01% 3.19% 53,523,517 Technology
4 AMAZON COM INC
AMZN
$180.38 $179.62 -0.42% $1.89T -$1.07T -56.77% 3.33% 42,126,588 Consumer Cyclical
5 ALPHABET INC CAP STK
GOOGL
$150.93 $171.95 13.93% $1.92T -$643.79B -33.53% 2.25% 32,321,911 Communication Services
6 ELI LILLY AND CO
LLY
$777.96 $733.51 -5.71% $739.66B -$510.4B -69.00% 13.36% 3,049,757 Healthcare
7 ALPHABET INC CAP STK
GOOG
$152.26 $173.69 14.07% $1.94T -$486.9B -25.14% 1.44% 23,712,384 Communication Services
8 BROADCOM INC
AVGO
$1,325.41 $1,344.07 1.41% $614.22B -$447.07B -72.79% 3.68% 2,967,558 Technology
9 VISA INC CLASS A COM
V
$279.08 $274.52 -1.63% $581.88B -$393.46B -67.62% 4.66% 6,045,346 Financial Services
10 JPMORGAN CHASE & CO
JPM
$200.30 $193.49 -3.40% $611.54B -$385.56B -63.05% 4.48% 8,911,855 Financial Services
11 UNITEDHEALTH GROUP INC
UNH
$494.70 $495.35 0.13% $464.03B -$382.17B -82.36% 3.97% 4,519,740 Healthcare
12 BERKSHIRE HATHWY INCB
BRK-B
$420.52 $402.10 -4.38% $912.53B -$330.19B -36.18% 2.88% 3,402,411 Financial Services
13 MASTERCARD INCORPORATED C
MA
$481.57 $462.42 -3.98% $455.57B -$323.33B -70.97% 4.32% 2,391,928 Financial Services
14 EXXON MOBIL CORPORATION
XOM
$116.24 $117.96 1.48% $471B -$269.31B -57.18% 3.41% 17,808,385 Energy
15 HOME DEPOT INC
HD
$383.60 $335.09 -12.65% $384.37B -$251.74B -65.50% 4.51% 3,410,965 Consumer Cyclical
16 JOHNSON AND JOHNSON
JNJ
$158.19 $146.14 -7.62% $405.03B -$246.69B -60.91% 4.48% 7,640,096 Healthcare
17 MERCK & CO INC
MRK
$131.95 $131.20 -0.57% $336.1B -$239.3B -71.20% 4.54% 8,426,142 Healthcare
18 PROCTER & GAMBLE
PG
$162.25 $161.29 -0.59% $403.01B -$234.86B -58.28% 3.89% 6,470,601 Consumer Defensive
19 TESLA INC
TSLA
$175.79 $168.29 -4.27% $612.63B -$232.89B -38.01% 1.84% 101,011,888 Consumer Cyclical
20 SALESFORCE,INC
CRM
$301.18 $274.29 -8.93% $296.36B -$223.03B -75.26% 3.59% 5,688,347 Technology
21 ABBVIE INC
ABBV
$182.10 $159.62 -12.34% $322.86B -$211.43B -65.49% 4.38% 5,710,690 Healthcare
22 COSTCO WHOLESALE CORP-
COST
$732.63 $729.18 -0.47% $325.62B -$205.41B -63.08% 5.12% 2,032,352 Consumer Defensive
23 NETFLIX COM INC
NFLX
$607.33 $561.23 -7.59% $272.99B -$203.97B -74.72% 3.18% 3,774,906 Communication Services
24 BANK OF AMERICA CORP
BAC
$37.92 $37.83 -0.24% $306.41B -$202.76B -66.17% 2.79% 40,759,260 Financial Services
25 CHEVRON CORPORATION
CVX
$157.74 $165.89 5.17% $296.6B -$199.74B -67.34% 4.01% 8,274,944 Energy
26 ADVANCED MICRO DEVICES
AMD
$180.49 $157.40 -12.79% $293.3B -$196.4B -66.96% 3.01% 67,963,892 Technology
27 THERMO FISHER SCIENTIFIC INC.
TMO
$581.21 $573.60 -1.31% $225.51B -$186.19B -82.56% 5.11% 1,428,839 Healthcare
28 COCA-COLA CO
KO
$61.18 $61.74 0.92% $265.46B -$176.39B -66.45% 3.30% 14,273,560 Consumer Defensive
29 ADOBE INC
ADBE
$504.60 $477.56 -5.36% $231.61B -$174.27B -75.24% 4.90% 3,740,633 Technology
30 LINDE PLC SHS
LIN
$464.32 $443.18 -4.55% $228.58B -$172.64B -75.53% 5.15% 2,434,268 Basic Materials
31 PEPSICO INC
PEP
$175.01 $175.58 0.33% $242.04B -$163.17B -67.42% 5.11% 6,041,363 Consumer Defensive
32 WAL-MART INC
WMT
$60.17 $60.16 -0.02% $487.92B -$155.66B -31.90% 2.07% 19,222,314 Consumer Defensive
33 WELLS FARGO & CO
WFC
$57.96 $59.91 3.36% $215.63B -$152.34B -70.65% 2.23% 19,218,879 Financial Services
34 ACCENTURE PLC
ACN
$346.61 $308.01 -11.14% $221.34B -$152.17B -68.75% 4.91% 2,523,846 Technology
35 INTUIT INC
INTU
$650.00 $636.55 -2.07% $183.95B -$142.07B -77.23% 5.56% 1,268,929 Technology
36 ABBOTT LABS
ABT
$113.66 $107.53 -5.39% $198.79B -$140.01B -70.43% 4.10% 5,795,374 Healthcare
37 ORACLE CORPORATION
ORCL
$125.61 $117.21 -6.69% $347.44B -$139.09B -40.03% 2.38% 8,541,046 Technology
38 WALT DISNEY CO-DISNEY
DIS
$122.36 $112.73 -7.87% $224.44B -$138.41B -61.67% 3.89% 11,645,153 Communication Services
39 COMCAST CORP
CMCSA
$43.35 $38.57 -11.03% $179.82B -$137.72B -76.59% 4.03% 21,818,388 Communication Services
40 DANAHER CORP
DHR
$249.72 $246.58 -1.26% $185.57B -$137.27B -73.98% 4.68% 2,711,755 Healthcare
41 GEN ELEC CO COM
GE
$175.53 $162.35 -7.51% $196.14B -$137.2B -69.95% 3.05% 8,634,639 Industrials
42 CISCO SYSTEMS
CSCO
$49.91 $47.86 -4.11% $204.88B -$136.04B -66.40% 5.82% 19,730,980 Technology
43 MCDONALDS CORP
MCD
$281.95 $273.09 -3.14% $206.47B -$134.63B -65.21% 4.17% 3,349,293 Consumer Cyclical
44 AMERICAN EXPRESS COMPANY
AXP
$227.69 $235.64 3.49% $167.58B -$133.63B -79.74% 3.17% 3,098,542 Financial Services
45 QUALCOMM INC
QCOM
$169.30 $165.66 -2.15% $190.63B -$132.28B -69.39% 4.30% 8,648,132 Technology
46 APPLIED MATERIALS INC
AMAT
$206.23 $203.38 -1.38% $174.26B -$130.05B -74.63% 4.24% 5,968,547 Technology
47 SERVICENOW INC
NOW
$762.40 $723.55 -5.10% $156.74B -$128.08B -81.71% 5.05% 1,187,611 Technology
48 TEXAS INSTRUMENTS
TXN
$174.21 $177.48 1.88% $159.58B -$127.14B -79.67% 4.74% 5,374,677 Technology
49 MORGAN STANLEY
MS
$94.16 $92.83 -1.41% $154.99B -$125.64B -81.06% 2.73% 8,322,965 Financial Services
50 UBER TECHNOLOGIES INC
UBER
$76.99 $69.05 -10.31% $161.05B -$125.4B -77.87% 3.28% 18,823,704 Technology
51 CATERPILLAR INC
CAT
$366.43 $343.38 -6.29% $188.2B -$123.09B -65.40% 3.39% 2,443,841 Industrials
52 CONOCOPHILLIPS
COP
$127.28 $130.24 2.33% $153.46B -$117.09B -76.30% 3.95% 5,366,149 Energy
53 INTEL CORP
INTC
$44.17 $31.88 -27.82% $186.75B -$114.86B -61.50% 3.03% 48,370,182 Technology
54 UNION PACIFIC CORPORATION
UNP
$245.93 $242.79 -1.28% $150.07B -$113.39B -75.56% 4.73% 2,286,561 Industrials
55 S&P GLOBAL INC
SPGI
$425.45 $415.78 -2.27% $136.25B -$110.51B -81.11% 4.41% 1,458,865 Financial Services
56 INTUITIVE SURGICAL INC
ISRG
$399.09 $375.33 -5.95% $142.63B -$110.12B -77.20% 5.66% 1,543,038 Healthcare
57 AMGEN INC
AMGN
$284.32 $269.98 -5.04% $152.96B -$109.37B -71.50% 4.67% 2,949,077 Healthcare
58 PROLOGIS, INC
PLD
$130.22 $104.06 -20.09% $126.98B -$107.88B -84.95% 3.31% 3,595,904 Real Estate
59 PHILIP MORRIS INTL
PM
$91.62 $95.02 3.71% $142.29B -$106.76B -75.03% 3.61% 6,106,074 Consumer Defensive
60 RTX CORPORATION COM
RTX
$97.53 $101.41 3.98% $139.99B -$106.7B -76.22% 3.72% 8,044,082 Industrials
61 BOOKING HLDGS INC
BKNG
$3,627.88 $3,521.08 -2.94% $132.53B -$106.69B -80.51% 5.56% 272,660 Consumer Cyclical
62 TAIWAN SEMICON MFG LTD
TSM
$136.05 $138.30 1.65% $705.53B -$106.56B -15.10% 1.44% 15,959,792 Technology
63 LAM RESEARCH CORP
LRCX
$971.57 $925.37 -4.76% $131.97B -$102.88B -77.96% 3.47% 1,039,111 Technology
64 ELEVANCE HEALTH INC.
ELV
$518.54 $537.26 3.61% $123.1B -$102.86B -83.56% 3.93% 985,927 Healthcare
65 VERIZON COMMUNICATIONS
VZ
$41.96 $39.68 -5.43% $176.86B -$102.56B -57.99% 3.85% 18,678,122 Communication Services
66 PFIZER INC
PFE
$27.75 $25.40 -8.47% $158.42B -$101.86B -64.29% 3.42% 42,282,466 Healthcare
67 LOWES COMPANIES INC
LOW
$254.73 $229.87 -9.76% $148.76B -$101.63B -68.32% 4.45% 2,485,028 Consumer Cyclical
68 MICRON TECHNOLOGY INC
MU
$117.89 $114.84 -2.59% $130.55B -$100.5B -76.98% 3.42% 22,331,575 Technology
69 STRYKER CORP
SYK
$357.87 $335.61 -6.22% $137.31B -$97.92B -71.31% 5.07% 1,268,104 Healthcare
70 NEXTERA ENERGY INC
NEE
$63.91 $65.99 3.25% $131.31B -$97.74B -74.44% 4.20% 12,194,649 Utilities
71 PROGRESSIVE CORP
PGR
$206.82 $208.03 0.59% $121.51B -$97.33B -80.10% 4.98% 2,684,166 Financial Services
72 TJX COMPANIES INC
TJX
$101.42 $96.36 -4.99% $117.55B -$96.78B -82.33% 6.65% 5,233,577 Consumer Cyclical
73 EATON CORP PLC
ETN
$312.68 $324.30 3.72% $125.42B -$96.62B -77.04% 5.52% 2,104,887 Industrials
74 INTL BUSINESS MACHINES CORP
IBM
$190.96 $167.13 -12.48% $176.08B -$96.51B -54.81% 3.70% 4,687,190 Technology
75 HONEYWELL INTERNATIONAL INC
HON
$205.25 $193.45 -5.75% $137.15B -$96.23B -70.17% 3.95% 3,065,903 Industrials
76 BLACKROCK INC
BLK
$833.70 $762.88 -8.49% $125.64B -$95.51B -76.02% 3.62% 619,090 Financial Services
77 VERTEX PHARMACEUTICALS INC
VRTX
$418.01 $397.48 -4.91% $108.89B -$94.03B -86.35% 3.50% 1,202,646 Healthcare
78 GOLDMAN SACHS GROUP INC
GS
$417.69 $427.57 2.37% $144.44B -$89.6B -62.03% 4.80% 2,376,074 Financial Services
79 MEDTRONIC PLC
MDT
$87.15 $79.74 -8.50% $116.15B -$88.99B -76.61% 5.05% 6,332,847 Healthcare
80 THE CIGNA GROUP COM
CI
$363.19 $354.47 -2.40% $107.83B -$88.56B -82.13% 3.39% 1,533,041 Healthcare
81 BOSTON SCIENTIFIC CORP
BSX
$68.49 $73.17 6.83% $100.67B -$87.91B -87.32% 3.33% 6,555,587 Healthcare
82 NIKE INC
NKE
$93.98 $94.12 0.15% $147.53B -$86.41B -58.57% 3.73% 9,573,776 Consumer Cyclical
83 MARSH & MCLENNAN COS INC
MMC
$205.98 $197.95 -3.90% $102.78B -$85.13B -82.82% 3.88% 1,696,007 Financial Services
84 REGENERON PHARMACEUTICALS INC
REGN
$962.49 $883.20 -8.24% $109.44B -$84.67B -77.37% 2.92% 466,462 Healthcare
85 T-MOBILE US INC
TMUS
$163.22 $163.96 0.45% $195.91B -$84.52B -43.14% 1.61% 4,371,683 Communication Services
86 CHUBB LTD COM
CB
$259.13 $245.45 -5.28% $107.33B -$82.84B -77.18% 4.83% 1,701,431 Financial Services
87 ANALOG DEVICES INC
ADI
$197.79 $201.97 2.11% $100.07B -$81.27B -81.21% 3.89% 3,477,487 Technology
88 CITIGROUP
C
$63.24 $62.66 -0.92% $123.68B -$81.12B -65.59% 4.33% 16,117,025 Financial Services
89 AMERICAN TOWER CORP REIT
AMT
$197.59 $171.69 -13.11% $92.31B -$80.95B -87.70% 4.84% 2,506,552 Real Estate
90 FISERV INC
FI
$159.82 $155.89 -2.46% $98.43B -$80.76B -82.05% 5.00% 2,570,930 Technology
91 BRISTOL MYERS SQUIBB COMPANY
BMY
$54.23 $44.85 -17.30% $112.69B -$79.56B -70.60% 3.82% 16,092,461 Healthcare
92 KLA CORPORATION
KLAC
$698.57 $706.26 1.10% $97.96B -$76.85B -78.45% 4.94% 936,723 Technology
93 LOCKHEED MARTIN CORP
LMT
$454.87 $461.29 1.41% $114.26B -$76.62B -67.05% 3.94% 1,166,765 Industrials
94 CVS HEALTH CORPORATION
CVS
$79.76 $67.18 -15.77% $102.89B -$76.5B -74.35% 4.37% 9,362,655 Healthcare
95 AUTOMATIC DATA PROCESSING
ADP
$249.74 $243.07 -2.67% $103.82B -$75.61B -72.83% 6.20% 1,856,284 Industrials
96 DEERE & CO
DE
$410.74 $393.33 -4.24% $117.84B -$74B -62.80% 3.65% 1,552,092 Industrials
97 BOEING CO
BA
$192.99 $167.22 -13.35% $118.47B -$72.76B -61.41% 2.92% 8,157,244 Industrials
98 GILEAD SCIENCES INC
GILD
$73.25 $65.42 -10.69% $92.15B -$72.34B -78.50% 4.23% 7,349,480 Healthcare
99 UNITED PARCEL SERVICE,INC.
UPS
$148.63 $147.59 -0.70% $127.82B -$71.48B -55.92% 3.76% 4,659,012 Industrials
100 EQUINIX INC REIT
EQIX
$825.33 $731.61 -11.36% $78.09B -$71.27B -91.26% 3.66% 626,170 Real Estate
Goto 2024Q1, 2023Q4, 2023Q3, ..., 2014Q1, 2013Q4, Next