Quarterly Top Stocks Sold by Hedge Funds in Dollar Amount - 2022Q4

  • 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, 2024-06-02.
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# 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 ALPHABET INC CAP STK
GOOG
$88.73 $173.96 96.06% $1.13T -$11.43B -1.01% 28.45% 21,552,161 Communication Services
2 AMERCO
UHAL
$60.19 $63.23 5.05% $11.8B -$3.78B -32.07% 4.09% 85,277 Industrials
3 CONOCOPHILLIPS
COP
$118.00 $116.47 -1.30% $142.27B -$3.69B -2.59% 81.98% 5,195,655 Energy
4 META PLATFORMS, INC. CLASS A C
META
$120.34 $466.83 287.93% $316.37B -$3.33B -1.05% 62.00% 15,590,953 Communication Services
5 ALYNLAM PHARMACEUTICALS INC
ALNY
$237.65 $148.43 -37.54% $30.06B -$3.31B -11.01% 94.03% 548,157 Healthcare
6 ALPHABET INC CAP STK
GOOGL
$88.23 $172.50 95.51% $1.12T -$3.29B -0.29% 35.26% 29,155,834 Communication Services
7 TESLA INC
TSLA
$123.18 $178.08 44.57% $429.28B -$3.26B -0.76% 38.96% 94,891,188 Consumer Cyclical
8 AMAZON COM INC
AMZN
$84.00 $176.44 110.05% $881.33B -$2.88B -0.33% 56.68% 38,925,131 Consumer Cyclical
9 THE CIGNA GROUP COM
CI
$331.34 $344.62 4.01% $98.37B -$2.85B -2.89% 87.86% 1,554,423 Healthcare
10 T-MOBILE US INC
TMUS
$140.00 $174.96 24.97% $168.04B -$2.82B -1.68% 44.75% 4,421,773 Communication Services
11 BRISTOL MYERS SQUIBB COMPANY
BMY
$71.95 $41.09 -42.89% $149.51B -$2.66B -1.78% 76.77% 15,888,250 Healthcare
12 COMCAST CORP
CMCSA
$34.97 $40.03 14.47% $145.06B -$2.6B -1.80% 85.21% 20,958,569 Communication Services
13 S&P GLOBAL INC
SPGI
$334.94 $427.51 27.64% $106.81B -$2.38B -2.23% 87.36% 1,328,120 Financial Services
14 XPO INC
XPO
$33.29 $106.98 221.36% $3.93B -$2.26B -57.52% 91.48% 1,365,704 Industrials
15 LOWES COMPANIES INC
LOW
$199.24 $221.29 11.07% $116.36B -$2.11B -1.82% 76.88% 2,336,795 Consumer Cyclical
16 LINDE PLC SHS
LIN
$326.18 $435.52 33.52% $160.58B -$2.11B -1.31% 78.55% 2,415,141 Basic Materials
17 ACCENTURE PLC
ACN
$266.84 $282.29 5.79% $170.4B -$1.94B -1.14% 73.15% 2,933,415 Technology
18 CENTENE CORP DEL
CNC
$82.01 $71.59 -12.71% $44.75B -$1.93B -4.31% 93.68% 3,439,930 Healthcare
19 SALESFORCE,INC
CRM
$132.59 $234.44 76.82% $130.47B -$1.85B -1.41% 76.90% 6,305,446 Technology
20 STELLANTIS N V SHS
STLA
$14.20 $22.27 56.83% $44.48B -$1.7B -3.81% 30.28% 5,821,377 Consumer Cyclical
21 TAIWAN SEMICON MFG LTD
TSM
$74.49 $151.04 102.77% $1.93T -$1.68B -0.09% 16.31% 15,568,893 Technology
22 LI AUTO INC SPONSORED ADR
LI
$20.40 $20.25 -0.74% $21.58B -$1.59B -7.37% 13.79% 8,960,779 Consumer Cyclical
23 NIKE INC
NKE
$117.01 $95.05 -18.77% $183.68B -$1.58B -0.86% 63.21% 9,712,319 Consumer Cyclical
24 ANALOG DEVICES INC
ADI
$164.03 $234.49 42.96% $82.99B -$1.58B -1.91% 85.52% 3,328,161 Technology
25 MCKESSON CORPORATION
MCK
$375.12 $569.59 51.84% $53.34B -$1.58B -2.95% 87.83% 678,661 Healthcare
26 ADOBE INC
ADBE
$336.53 $444.76 32.16% $154.47B -$1.53B -0.99% 80.68% 3,475,819 Technology
27 AON PLC
AON
$300.14 $281.64 -6.16% $65.26B -$1.51B -2.32% 80.06% 1,247,868 Financial Services
28 DEVON ENERGY CORP
DVN
$61.51 $49.08 -20.21% $39.49B -$1.43B -3.61% 76.35% 6,962,849 Energy
29 MARATHON PETE CORP
MPC
$116.39 $176.61 51.74% $47.6B -$1.37B -2.87% 85.86% 2,603,049 Energy
30 AUTOZONE INC
AZO
$2,466.18 $2,769.94 12.32% $47.11B -$1.32B -2.80% 89.11% 143,692 Consumer Cyclical
31 ELI LILLY AND CO
LLY
$365.84 $820.34 124.23% $347.7B -$1.28B -0.37% 82.72% 2,705,877 Healthcare
32 HCA HEALTHCARE INC
HCA
$239.96 $339.75 41.59% $66.33B -$1.26B -1.90% 64.86% 1,040,015 Healthcare
33 VALERO ENERGY CORP
VLO
$126.86 $157.14 23.87% $44.78B -$1.25B -2.80% 85.04% 2,981,133 Energy
34 STATE STREET CORP
STT
$77.57 $75.59 -2.55% $25.33B -$1.24B -4.89% 95.37% 2,340,134 Financial Services
35 FEDEX CORPORATION
FDX
$173.20 $253.96 46.63% $44.34B -$1.22B -2.76% 71.38% 1,704,044 Industrials
36 KLA CORPORATION
KLAC
$377.03 $759.53 101.45% $52.87B -$1.18B -2.24% 87.51% 864,488 Technology
37 FISERV INC
FI
$101.07 $149.76 48.17% $62.25B -$1.16B -1.86% 90.79% 2,389,619 Technology
38 PNC FINL SVCS GRP,INC
PNC
$157.94 $157.46 -0.30% $63.33B -$1.15B -1.82% 81.96% 1,816,101 Financial Services
39 BAKER HUGHES COMPANY
BKR
$29.53 $33.48 13.38% $29.97B -$1.15B -3.84% 94.11% 6,582,317 Energy
40 NORTHROP GRUMMAN CP
NOC
$545.61 $450.77 -17.38% $82.93B -$1.15B -1.39% 84.09% 927,296 Industrials
41 MONSTER BEVERAGE CORP
MNST
$50.76 $51.92 2.28% $107.42B -$1.12B -1.05% 32.05% 6,066,742 Consumer Defensive
42 BOOKING HLDGS INC
BKNG
$2,015.28 $3,776.35 87.39% $73.62B -$1.09B -1.48% 94.81% 249,063 Consumer Cyclical
43 DEERE & CO
DE
$428.76 $374.76 -12.59% $125.88B -$1.09B -0.87% 70.15% 1,422,307 Industrials
44 FORTUNE BRANDS INNOVATIONS INC
FBIN
$57.11 $70.06 22.68% $7.29B -$1.09B -14.88% 86.74% 988,360 Industrials
45 GLOBAL PAYMENTS INC
GPN
$99.32 $101.85 2.55% $25.99B -$1.08B -4.17% 87.33% 2,288,625 Industrials
46 INTUIT INC
INTU
$389.22 $576.44 48.10% $110.15B -$1.07B -0.97% 82.26% 1,306,917 Technology
47 AMGEN INC
AMGN
$262.64 $305.85 16.45% $141.3B -$1.05B -0.74% 75.20% 2,658,119 Healthcare
48 CSX CORP
CSX
$30.98 $33.75 8.94% $62.36B -$1.05B -1.68% 75.47% 11,862,625 Industrials
49 MORGAN STANLEY
MS
$85.02 $97.84 15.08% $139.94B -$1.02B -0.73% 85.70% 7,677,123 Financial Services
50 TJX COMPANIES INC
TJX
$79.60 $103.10 29.52% $92.26B -$1B -1.09% 91.10% 5,582,047 Consumer Cyclical
51 AMERICAN INTL GROUP INC
AIG
$63.24 $78.82 24.64% $45.86B -$905.41M -1.97% 90.85% 3,933,542 Financial Services
52 JD COM INC SPON ADS REPSTG COM
JD
$56.13 $29.62 -47.23% $88.98B -$903.28M -1.02% 14.04% 15,190,998 Consumer Cyclical
53 BEIGENE LTD SPONSORED ADR
BGNE
$219.94 $148.85 -32.32% $23.58B -$894.72M -3.79% 46.07% 187,152 Healthcare
54 AMERICAN EXPRESS COMPANY
AXP
$147.75 $240.00 62.44% $108.74B -$888.41M -0.82% 84.66% 2,815,588 Financial Services
55 INGERSOLL RAND INC
IR
$52.25 $93.05 78.09% $21.37B -$879.42M -4.12% 95.84% 2,656,492 Industrials
56 COTERRA ENERGY INC
CTRA
$24.57 $28.52 16.08% $18.67B -$863.06M -4.62% 93.93% 6,298,312 Energy
57 CARDINAL HEALTH INC
CAH
$76.87 $99.27 29.14% $20.14B -$835.66M -4.15% 85.38% 2,084,160 Healthcare
58 BECTON DICKINSON & CO
BDX
$254.30 $231.97 -8.78% $73.49B -$820.03M -1.12% 85.28% 1,373,346 Healthcare
59 MARRIOTT INT'L INC
MAR
$148.89 $231.17 55.26% $45.1B -$818.34M -1.81% 60.57% 1,394,233 Consumer Cyclical
60 M AND T BANK CORP
MTB
$145.06 $151.60 4.51% $24.23B -$813.81M -3.36% 84.23% 984,952 Financial Services
61 NUTRIEN LTD COM SHS
NTR
$73.03 $58.61 -19.75% $36.3B -$796.57M -2.19% 67.01% 1,828,012 Basic Materials
62 TRANE TECHNOLOGIES PLC SHS
TT
$168.09 $327.46 94.81% $38.78B -$770.05M -1.99% 80.80% 926,825 Industrials
63 NOVARTIS AG ADS
NVS
$90.72 $103.13 13.68% $189.79B -$767.21M -0.40% 8.18% 1,479,614 Healthcare
64 XPENG INC.ADS
XPEV
$9.94 $8.31 -16.40% $8.95B -$754.02M -8.42% 15.50% 15,591,622 Consumer Cyclical
65 DANAHER CORP
DHR
$235.30 $256.80 9.14% $197.23B -$752.75M -0.38% 76.46% 2,638,555 Healthcare
66 HESS CORPORATION
HES
$141.82 $154.10 8.66% $43.7B -$732.1M -1.68% 84.45% 2,479,923 Energy
67 FERRARI N V COM SHS
RACE
$214.22 $411.00 91.86% $38.88B -$722.05M -1.86% 31.96% 247,923 Consumer Cyclical
68 HUMANA INC
HUM
$512.19 $358.12 -30.08% $63.74B -$713.52M -1.12% 94.57% 1,690,133 Healthcare
69 HILTON WORLDWIDE HLDGS INC
HLT
$126.36 $200.60 58.75% $33.36B -$713.29M -2.14% 96.91% 1,517,009 Consumer Cyclical
70 COSTAR GROUP INC
CSGP
$77.28 $78.17 1.15% $31.56B -$706.89M -2.24% 96.09% 2,087,396 Real Estate
71 BANK OF NOVA SCOTIA
BNS
$48.98 $47.33 -3.37% $60.22B -$706.44M -1.17% 43.86% 1,826,749 Financial Services
72 MICROCHIP TECHNOLOGY INC
MCHP
$70.25 $97.23 38.41% $39.15B -$705.74M -1.80% 89.48% 5,460,680 Technology
73 BROOKFIELD INFRASTRUCTURE PART
BIP
$30.99 $28.89 -6.78% $14.3B -$697.98M -4.88% 53.17% 473,534 Utilities
74 SYNCHRONY FINL
SYF
$32.86 $43.80 33.29% $13.92B -$686.43M -4.93% 98.52% 4,352,103 Financial Services
75 WASTE MANAGEMENT INC
WM
$156.88 $210.73 34.33% $63.83B -$677.54M -1.06% 79.42% 1,582,271 Industrials
76 YUM CHINA HLDGS INC
YUMC
$54.65 $35.76 -34.57% $22.95B -$675.66M -2.94% 76.89% 2,863,946 Consumer Cyclical
77 BUILDERS FIRST SOURCE, INC.
BLDR
$64.88 $160.79 147.83% $8.37B -$674.36M -8.06% 107.88% 1,597,126 Industrials
78 ILLINOIS TOOL WORKS
ITW
$220.30 $242.75 10.19% $66.88B -$631.28M -0.94% 81.04% 1,263,947 Industrials
79 CHENIERE ENERGY INC
LNG
$149.96 $157.79 5.22% $36.38B -$629.88M -1.73% 85.89% 1,815,271 Energy
80 PAYPAL HLDGS INC
PYPL
$71.22 $62.99 -11.56% $78.84B -$622.03M -0.79% 74.67% 12,256,730 Financial Services
81 CVS HEALTH CORPORATION
CVS
$93.19 $59.60 -36.04% $120.22B -$617.95M -0.51% 79.54% 11,884,998 Healthcare
82 ROSS STORES INC
ROST
$116.07 $139.76 20.41% $39.17B -$617.74M -1.58% 90.32% 2,540,131 Consumer Cyclical
83 ALLSTATE CORP
ALL
$135.60 $167.52 23.54% $35.77B -$608.1M -1.70% 76.71% 1,608,149 Financial Services
84 PETRO BRAS SA PETROBAS ADS
PBR
$10.65 $15.55 46.01% $69.34B -$607.7M -0.88% 11.44% 22,502,776 Energy
85 LIGAND PHARMACEUTICALS INC
LGND
$66.80 $85.05 27.32% $1.2B -$607.08M -50.59% 81.91% 170,725 Healthcare
86 EMERSON ELECTRIC CO
EMR
$96.06 $112.16 16.76% $55.16B -$589.42M -1.07% 74.40% 2,567,523 Industrials
87 ELEVANCE HEALTH INC.
ELV
$512.97 $538.48 4.97% $121.78B -$571.39M -0.47% 89.21% 982,142 Healthcare
88 VISA INC CLASS A COM
V
$207.76 $272.46 31.14% $433.18B -$562.02M -0.13% 74.68% 6,875,836 Financial Services
89 TC ENERGY CORP COM
TRP
$39.86 $38.56 -3.26% $41.35B -$561.92M -1.36% 70.60% 3,439,682 Energy
90 QUEST DIAGNOSTICS INC.
DGX
$156.44 $141.97 -9.25% $17.68B -$555.51M -3.14% 87.29% 956,268 Healthcare
91 METLIFE, INC
MET
$72.37 $72.37 0.00% $55.17B -$554.03M -1.00% 74.42% 2,945,031 Financial Services
92 NORFOLK SOUTHERN CORP
NSC
$246.42 $224.80 -8.77% $56.04B -$547.59M -0.98% 74.31% 1,281,957 Industrials
93 SNOWFLAKE INC
SNOW
$143.54 $136.18 -5.13% $48.09B -$539.45M -1.12% 63.13% 6,014,944 Technology
94 STMICROELECTRONICS N.V.
STM
$35.57 $41.97 17.99% $33.59B -$538.91M -1.60% 4.64% 3,313,006 Technology
95 APA CORP
APA
$46.68 $30.53 -34.60% $17.33B -$531.62M -3.07% 67.03% 6,813,031 Energy
96 EQUINOR ASA SPONSORED ADR
EQNR
$35.81 $29.14 -18.63% $108.4B -$525.41M -0.48% 5.37% 3,435,517 Energy
97 ANHEUSER-BUSCH INBEV SA SPONSO
BUD
$60.04 $63.07 5.05% $123.32B -$522.29M -0.42% 4.75% 2,075,117 Consumer Defensive
98 LPL FINANCIAL HLDGS INC
LPLA
$216.17 $286.21 32.40% $16.83B -$515.35M -3.06% 97.88% 486,973 Financial Services
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