Quarterly Top Stocks Bought by Hedge Funds in Dollar Amount - 2023Q4

  • 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, 2024-05-18.
Goto Prev, 2024Q1, 2023Q4, 2023Q3, 2023Q2, ..., 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
$376.04 $420.21 11.75% $2.81T $49.96B 1.78% 70.69% 19,926,627 Technology
2 APPLE INC
AAPL
$192.53 $189.87 -1.38% $3.04T $48.58B 1.60% 59.00% 64,646,229 Technology
3 AMAZON COM INC
AMZN
$151.94 $184.70 21.56% $1.59T $36.77B 2.31% 60.11% 40,588,719 Consumer Cyclical
4 BROADCOM INC
AVGO
$1,116.25 $1,395.29 25.00% $517.29B $30.69B 5.93% 76.48% 2,876,437 Technology
5 GLOBALFOUNDRIES INC SHS
GFS
$60.60 $53.95 -10.97% $33.69B $28.45B 84.43% 99.94% 1,449,198 Technology
6 NVIDIA CORP
NVDA
$495.22 $924.79 86.74% $1.24T $18.26B 1.47% 65.20% 50,973,887 Technology
7 ALPHABET INC CAP STK
GOOGL
$139.69 $176.06 26.04% $1.78T $16.87B 0.95% 35.79% 30,834,885 Communication Services
8 VERALTO CORP COM
VLTO
$82.26 $98.60 19.86% $20.31B $15.7B 77.33% 87.12% 1,635,235 Industrials
9 META PLATFORMS, INC. CLASS A C
META
$353.96 $471.91 33.32% $930.56B $15.08B 1.62% 63.83% 16,263,072 Communication Services
10 TESLA INC
TSLA
$248.48 $177.46 -28.58% $865.95B $13.73B 1.59% 39.86% 98,254,612 Consumer Cyclical
11 EXXON MOBIL CORPORATION
XOM
$99.98 $119.64 19.66% $448.5B $12.6B 2.81% 54.74% 18,289,945 Energy
12 JPMORGAN CHASE & CO
JPM
$170.10 $204.79 20.39% $500.62B $9.85B 1.97% 70.06% 8,845,098 Financial Services
13 T-MOBILE US INC
TMUS
$160.33 $164.00 2.29% $192.44B $9.3B 4.83% 44.75% 4,385,283 Communication Services
14 UBER TECHNOLOGIES INC
UBER
$61.57 $65.67 6.66% $128.79B $8.94B 6.94% 81.15% 18,311,277 Technology
15 ADVANCED MICRO DEVICES
AMD
$147.41 $164.47 11.57% $239.54B $8.92B 3.72% 69.98% 61,865,175 Technology
16 COREBRIDGE FINL INC
CRBG
$21.66 $31.30 44.51% $13.98B $8.68B 62.12% 96.32% 4,958,135 Financial Services
17 UNITEDHEALTH GROUP INC
UNH
$526.47 $524.63 -0.35% $493.83B $8.66B 1.75% 86.34% 4,369,219 Healthcare
18 INTEL CORP
INTC
$50.25 $31.83 -36.66% $213.91B $7.34B 3.43% 64.10% 50,325,896 Technology
19 UBS GROUP AG
UBS
$30.90 $30.34 -1.81% $99.74B $7.09B 7.11% 41.60% 2,775,991 Financial Services
20 SALESFORCE,INC
CRM
$263.14 $285.61 8.54% $258.93B $6.82B 2.63% 78.85% 5,610,190 Technology
21 NEWMONT CORPORATION
NEM
$41.39 $43.74 5.68% $47.73B $6.34B 13.29% 68.43% 14,464,748 Basic Materials
22 BERKSHIRE HATHWY INCB
BRK-B
$356.66 $416.94 16.90% $775.14B $6.23B 0.80% 39.01% 3,342,574 Financial Services
23 ELI LILLY AND CO
LLY
$582.92 $770.00 32.09% $554.01B $6.16B 1.11% 82.40% 2,810,546 Healthcare
24 COSTCO WHOLESALE CORP-
COST
$660.08 $795.81 20.56% $293.37B $6.09B 2.08% 68.22% 2,005,246 Consumer Defensive
25 PROCTER & GAMBLE
PG
$146.54 $167.64 14.40% $363.99B $6.08B 1.67% 62.17% 6,211,920 Consumer Defensive
26 CHEVRON CORPORATION
CVX
$149.16 $162.67 9.06% $280.42B $6.03B 2.15% 71.37% 8,006,674 Energy
27 MCDONALDS CORP
MCD
$296.51 $272.38 -8.14% $217.13B $6B 2.76% 69.39% 3,319,548 Consumer Cyclical
28 HOME DEPOT INC
HD
$346.55 $344.21 -0.68% $347.24B $5.98B 1.72% 70.03% 3,575,158 Consumer Cyclical
29 WALT DISNEY CO-DISNEY
DIS
$90.29 $103.25 14.35% $165.62B $5.65B 3.41% 65.58% 11,146,238 Communication Services
30 JOHNSON AND JOHNSON
JNJ
$156.74 $154.64 -1.34% $401.32B $5.59B 1.39% 65.40% 7,470,704 Healthcare
31 BANK OF AMERICA CORP
BAC
$33.67 $39.29 16.69% $272.07B $5.46B 2.01% 68.96% 38,576,970 Financial Services
32 MERCK & CO INC
MRK
$109.02 $131.19 20.34% $277.67B $5.3B 1.91% 75.74% 8,217,112 Healthcare
33 ABBVIE INC
ABBV
$154.97 $166.42 7.39% $274.76B $5.3B 1.93% 69.87% 5,623,243 Healthcare
34 BOEING CO
BA
$260.66 $184.95 -29.05% $160.02B $4.9B 3.06% 64.34% 7,722,145 Industrials
35 CRH PLC SHS
CRH
$69.16 $81.92 18.45% $50.43B $4.89B 9.69% 59.12% 3,546,488 Basic Materials
36 WELLTOWER INC
WELL
$90.17 $101.29 12.33% $53.91B $4.78B 8.87% 89.98% 2,573,129 Real Estate
37 MASTERCARD INCORPORATED C
MA
$426.51 $460.27 7.92% $403.48B $4.73B 1.17% 75.30% 2,442,167 Financial Services
38 NASDAQ INC.
NDAQ
$58.14 $62.76 7.95% $33.52B $4.66B 13.89% 75.34% 3,485,491 Financial Services
39 KENVUE INC
KVUE
$21.53 $20.47 -4.92% $41.23B $4.53B 10.98% 97.62% 19,243,143 Consumer Defensive
40 ADOBE INC
ADBE
$596.60 $483.43 -18.97% $273.84B $4.2B 1.53% 80.18% 3,703,722 Technology
41 INTUIT INC
INTU
$625.03 $661.18 5.78% $176.88B $4.16B 2.35% 82.80% 1,232,830 Technology
42 BERKSHIRE HATHWY INCA
BRK-A
$542,625.00 $629,375.00 15.99% $786.2B $4.15B 0.53% 7.26% 14,195 Financial Services
43 QUALCOMM INC
QCOM
$144.63 $193.86 34.04% $162.85B $3.95B 2.43% 73.71% 8,149,258 Technology
44 WAL-MART INC
WMT
$52.55 $64.65 23.03% $1.28T $3.76B 0.29% 11.33% 19,128,637 Consumer Defensive
45 BLACKROCK INC
BLK
$811.80 $812.22 0.05% $122.34B $3.72B 3.04% 79.65% 614,401 Financial Services
46 VERIZON COMMUNICATIONS
VZ
$37.70 $40.06 6.26% $158.91B $3.66B 2.30% 61.85% 18,134,883 Communication Services
47 SHOPIFY INC
SHOP
$77.90 $58.53 -24.87% $100.92B $3.62B 3.59% 62.53% 9,447,841 Technology
48 PDD HOLDINGS INC. AMERICAN DEP
PDD
$146.31 $146.19 -0.08% $213.6B $3.61B 1.69% 26.20% 8,849,751 Consumer Cyclical
49 WELLS FARGO & CO
WFC
$49.22 $61.08 24.10% $183.12B $3.6B 1.97% 72.88% 18,722,911 Financial Services
50 INFORMATICA INC
INFA
$28.39 $29.52 3.98% $9.76B $3.58B 36.74% 69.55% 2,042,193 Technology
51 THERMO FISHER SCIENTIFIC INC.
TMO
$530.79 $595.30 12.15% $205.95B $3.55B 1.73% 87.68% 1,350,379 Healthcare
52 ABBOTT LABS
ABT
$110.07 $104.09 -5.43% $192.51B $3.38B 1.76% 74.54% 5,750,458 Healthcare
53 COCA-COLA CO
KO
$58.93 $63.03 6.96% $255.7B $3.34B 1.31% 69.77% 13,250,027 Consumer Defensive
54 SCHWAB CHARLES CORP
SCHW
$68.80 $78.78 14.51% $125.97B $3.31B 2.63% 81.68% 7,082,288 Financial Services
55 INTL BUSINESS MACHINES CORP
IBM
$163.55 $169.03 3.35% $150.81B $3.23B 2.14% 58.51% 4,442,306 Technology
56 AT&T INC
T
$16.78 $17.40 3.69% $121.79B $3.23B 2.65% 56.16% 35,653,220 Communication Services
57 CROWDSTRIKE HLDGS INC
CRWD
$255.32 $345.93 35.49% $62.2B $3.16B 5.07% 67.01% 3,492,753 Technology
58 AMGEN INC
AMGN
$288.02 $312.47 8.49% $154.95B $3.07B 1.98% 76.19% 2,784,132 Healthcare
59 AMERICAN TOWER CORP REIT
AMT
$215.88 $194.51 -9.90% $100.85B $3.03B 3.00% 92.56% 2,599,259 Real Estate
60 SEMPRA COM
SRE
$74.73 $78.17 4.60% $47.29B $2.99B 6.32% 89.59% 3,215,509 Utilities
61 CISCO SYSTEMS
CSCO
$50.52 $48.17 -4.65% $207.38B $2.85B 1.38% 72.24% 18,896,635 Technology
62 UNION PACIFIC CORPORATION
UNP
$245.62 $244.97 -0.26% $149.88B $2.84B 1.90% 80.31% 2,131,772 Industrials
63 NETFLIX COM INC
NFLX
$486.88 $621.10 27.57% $218.85B $2.75B 1.26% 77.90% 3,503,961 Communication Services
64 ROYAL BANK OF CANADA
RY
$101.13 $106.79 5.60% $142.42B $2.73B 1.92% 45.04% 1,115,708 Financial Services
65 PEPSICO INC
PEP
$169.84 $182.19 7.27% $234.89B $2.72B 1.16% 72.53% 5,498,008 Consumer Defensive
66 AMPHENOL CORP
APH
$99.13 $131.91 33.07% $61.52B $2.69B 4.38% 93.81% 3,101,587 Technology
67 CVS HEALTH CORPORATION
CVS
$78.96 $57.68 -26.95% $101.86B $2.63B 2.58% 78.75% 11,158,677 Healthcare
68 NEXTERA ENERGY INC
NEE
$60.74 $76.09 25.27% $124.79B $2.6B 2.08% 78.64% 12,557,132 Utilities
69 VISA INC CLASS A COM
V
$260.35 $280.10 7.59% $542.83B $2.59B 0.48% 72.28% 6,836,287 Financial Services
70 ACCENTURE PLC
ACN
$350.91 $303.59 -13.48% $224.09B $2.54B 1.13% 73.70% 2,742,151 Technology
71 REALTY INCOME CORP
O
$57.42 $55.13 -3.99% $50B $2.49B 4.97% 69.78% 5,967,458 Real Estate
72 UNITED PARCEL SERVICE,INC.
UPS
$157.23 $149.24 -5.08% $135.22B $2.46B 1.82% 59.69% 3,914,950 Industrials
73 CNH INDUSTRIAL N V COM SHS
CNHI
$12.18 $11.45 -5.99% $16.44B $2.42B 14.71% 55.92% 10,290,987 Industrials
74 TEXAS INSTRUMENTS
TXN
$170.46 $195.02 14.41% $156.14B $2.39B 1.53% 84.44% 5,461,003 Technology
75 VESTIS CORP COM
VSTS
$21.14 $12.52 -40.78% $2.78B $2.37B 85.48% 97.70% 2,770,062 Industrials
76 SIMON PROPERTIES GROUP INC
SPG
$142.64 $148.79 4.31% $46.62B $2.32B 4.97% 88.82% 1,418,159 Real Estate
77 LAS VEGAS SANDS CORP
LVS
$49.21 $47.03 -4.43% $37.65B $2.25B 5.97% 44.40% 4,638,338 Consumer Cyclical
78 EQUINIX INC REIT
EQIX
$805.39 $799.83 -0.69% $76.44B $2.18B 2.85% 94.63% 731,948 Real Estate
79 ALEXANDRIA REAL EST EQ INC
ARE
$126.77 $124.17 -2.05% $22.17B $2.16B 9.75% 96.37% 865,670 Real Estate
80 SERVICENOW INC
NOW
$706.49 $765.05 8.29% $145.25B $2.14B 1.48% 86.78% 1,213,906 Technology
81 PROLOGIS, INC
PLD
$133.30 $111.50 -16.35% $129.99B $2.14B 1.64% 88.27% 3,701,400 Real Estate
82 CITIGROUP
C
$51.44 $64.07 24.55% $100.61B $2.11B 2.10% 69.93% 14,413,403 Financial Services
83 PERMIAN RES CORP
PR
$13.60 $16.39 20.51% $10.47B $2.08B 19.83% 69.00% 10,556,320 Energy
84 STARBUCKS CORPORATION
SBUX
$96.01 $77.85 -18.91% $110.54B $2.06B 1.86% 70.87% 10,404,741 Consumer Cyclical
85 ORACLE CORPORATION
ORCL
$105.43 $123.50 17.14% $291.62B $2.06B 0.70% 42.42% 8,355,966 Technology
86 INTUITIVE SURGICAL INC
ISRG
$337.36 $398.82 18.22% $120.57B $2.05B 1.70% 82.91% 1,435,685 Healthcare
87 APPLIED MATERIALS INC
AMAT
$162.07 $212.08 30.86% $136.95B $2.05B 1.50% 78.91% 5,249,569 Technology
88 EQUITY RESIDENTIAL
EQR
$61.16 $67.13 9.76% $23.91B $2.03B 8.47% 90.22% 1,913,122 Real Estate
89 LINDE PLC SHS
LIN
$410.71 $432.52 5.31% $202.19B $2.02B 1.00% 80.68% 2,460,020 Basic Materials
90 GOLDMAN SACHS GROUP INC
GS
$385.77 $467.72 21.24% $133.4B $2B 1.50% 66.84% 2,326,064 Financial Services
91 ZOETIS INC. CLASS A
ZTS
$197.37 $174.06 -11.81% $91.24B $1.99B 2.18% 91.95% 3,716,562 Healthcare
92 S&P GLOBAL INC
SPGI
$440.52 $441.88 0.31% $140.48B $1.98B 1.41% 85.91% 1,378,714 Financial Services
93 MONDELEZ INTL INC
MDLZ
$72.43 $71.23 -1.66% $99.23B $1.9B 1.92% 77.81% 8,211,979 Consumer Defensive
94 PNC FINL SVCS GRP,INC
PNC
$154.85 $160.35 3.55% $62.09B $1.84B 2.97% 82.98% 1,873,379 Financial Services
95 AUTODESK INC
ADSK
$243.48 $221.21 -9.15% $52.59B $1.83B 3.47% 89.00% 1,607,351 Technology
96 SNOWFLAKE INC
SNOW
$199.00 $161.86 -18.66% $66.51B $1.82B 2.74% 64.09% 6,500,632 Technology
97 BROOKFIELD CORP VTG SHS
BN
$40.12 $44.49 10.89% $65.82B $1.77B 2.68% 61.54% 3,024,093 Financial Services
98 GALLAGHER ARTHUR J.& CO
AJG
$224.88 $257.67 14.58% $49.32B $1.74B 3.53% 84.50% 805,087 Financial Services
99 FERGUSON PLC
FERG
$193.07 $210.70 9.13% $40B $1.71B 4.27% 79.12% 1,169,643 Industrials
100 CENTENE CORP DEL
CNC
$74.21 $78.06 5.19% $40.5B $1.68B 4.14% 91.82% 3,313,209 Healthcare
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