Quarterly Top Stocks Sold by Hedge Funds in Dollar Amount - 2024Q2

  • 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, 2024-07-26.
Goto 2024Q2, 2024Q1, 2023Q4, ..., 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
$446.95 $425.27 -4.85% $3.34T -$2.25T -67.40% 1.88% 18,535,349 Technology
2 NVIDIA CORP
NVDA
$123.54 $113.06 -8.48% $3.08T -$1.88T -61.07% 1.63% 372,884,073 Technology
3 APPLE INC
AAPL
$210.62 $217.96 3.48% $3.33T -$1.86T -55.90% 1.63% 68,492,950 Technology
4 AMAZON COM INC
AMZN
$193.25 $182.50 -5.56% $2.03T -$1.18T -58.04% 1.67% 42,267,881 Consumer Cyclical
5 META PLATFORMS, INC. CLASS A C
META
$504.22 $465.70 -7.64% $1.33T -$805.75B -60.78% 1.42% 13,313,265 Communication Services
6 ALPHABET INC CAP STK
GOOGL
$182.15 $167.00 -8.32% $2.32T -$785.99B -33.92% 1.08% 24,629,136 Communication Services
7 ELI LILLY AND CO
LLY
$905.38 $804.62 -11.13% $860.48B -$594.56B -69.10% 11.72% 2,924,790 Healthcare
8 ALPHABET INC CAP STK
GOOG
$183.42 $168.68 -8.04% $2.33T -$586.61B -25.14% 0.77% 17,950,822 Communication Services
9 BROADCOM INC
AVGO
$160.55 $151.63 -5.56% $7.47T -$539.16B -7.21% 0.22% 36,154,924 Technology
10 JPMORGAN CHASE & CO
JPM
$202.26 $212.24 4.93% $595.27B -$395.32B -66.41% 2.42% 9,005,006 Financial Services
11 UNITEDHEALTH GROUP INC
UNH
$509.26 $569.72 11.87% $477.69B -$391.91B -82.04% 2.21% 4,072,216 Healthcare
12 VISA INC CLASS A COM
V
$262.47 $259.46 -1.15% $547.25B -$380.98B -69.62% 2.14% 8,186,986 Financial Services
13 BERKSHIRE HATHWY INCB
BRK-B
$406.80 $437.66 7.59% $884.11B -$325.46B -36.81% 1.46% 3,590,078 Financial Services
14 MASTERCARD INCORPORATED C
MA
$441.16 $438.18 -0.68% $417.34B -$299.79B -71.83% 2.14% 2,606,213 Financial Services
15 EXXON MOBIL CORPORATION
XOM
$115.12 $117.33 1.92% $516.42B -$273.15B -52.89% 1.39% 16,920,909 Energy
16 TESLA INC
TSLA
$197.88 $219.80 11.08% $689.61B -$264.36B -38.34% 0.79% 98,362,690 Consumer Cyclical
17 PROCTER & GAMBLE
PG
$164.92 $169.11 2.54% $409.64B -$245.96B -60.04% 1.90% 5,890,395 Consumer Defensive
18 COSTCO WHOLESALE CORP-
COST
$849.99 $817.60 -3.81% $377.78B -$244B -64.59% 2.28% 1,919,178 Consumer Defensive
19 JOHNSON AND JOHNSON
JNJ
$146.16 $160.64 9.91% $374.23B -$231.49B -61.86% 2.67% 7,289,090 Healthcare
20 HOME DEPOT INC
HD
$344.24 $359.51 4.44% $344.93B -$229.48B -66.53% 2.40% 3,513,708 Consumer Cyclical
21 NETFLIX COM INC
NFLX
$674.88 $631.37 -6.45% $303.36B -$227.64B -75.04% 1.50% 3,244,201 Communication Services
22 MERCK & CO INC
MRK
$123.80 $125.26 1.18% $315.32B -$227.51B -72.15% 2.64% 8,262,685 Healthcare
23 BANK OF AMERICA CORP
BAC
$39.77 $41.67 4.78% $321.36B -$214.37B -66.71% 1.36% 35,387,406 Financial Services
24 ABBVIE INC
ABBV
$171.52 $185.16 7.95% $304.1B -$204.01B -67.09% 2.06% 5,436,881 Healthcare
25 CHEVRON CORPORATION
CVX
$156.42 $157.84 0.91% $294.07B -$201.96B -68.68% 1.89% 6,955,359 Energy
26 ADOBE INC
ADBE
$555.54 $542.44 -2.36% $254.99B -$193.07B -75.72% 2.46% 3,364,555 Technology
27 SALESFORCE,INC
CRM
$257.10 $262.71 2.18% $252.99B -$191.66B -75.76% 2.28% 8,360,331 Technology
28 COCA-COLA CO
KO
$63.65 $67.05 5.34% $276.18B -$185.5B -67.17% 1.71% 11,425,414 Consumer Defensive
29 THERMO FISHER SCIENTIFIC INC.
TMO
$553.00 $607.14 9.79% $214.56B -$176.1B -82.07% 2.79% 1,549,081 Healthcare
30 WAL-MART INC
WMT
$67.71 $69.78 3.06% $548.99B -$174.71B -31.82% 1.20% 15,403,824 Consumer Defensive
31 ADVANCED MICRO DEVICES
AMD
$162.21 $139.99 -13.70% $263.59B -$170.61B -64.73% 1.70% 51,585,650 Technology
32 LINDE PLC SHS
LIN
$438.81 $451.39 2.87% $216.02B -$164.91B -76.34% 2.04% 1,710,516 Basic Materials
33 GE AEROSPACE
GE
$158.97 $169.81 6.82% $174.71B -$160.94B -92.12% 1.05% 5,905,524 Industrials
34 ORACLE CORPORATION
ORCL
$141.20 $139.01 -1.55% $398.61B -$159.24B -39.95% 1.37% 8,573,955 Technology
35 QUALCOMM INC
QCOM
$199.18 $180.05 -9.60% $224.28B -$158.58B -70.71% 2.49% 10,110,029 Technology
36 PEPSICO INC
PEP
$164.93 $172.75 4.74% $228.1B -$156.32B -68.53% 2.84% 5,092,403 Consumer Defensive
37 WELLS FARGO & CO
WFC
$59.39 $60.39 1.68% $220.95B -$153.56B -69.50% 1.05% 17,257,203 Financial Services
38 TEXAS INSTRUMENTS
TXN
$194.53 $201.99 3.83% $178.19B -$148.34B -83.25% 1.65% 5,250,267 Technology
39 INTUIT INC
INTU
$657.21 $633.36 -3.63% $185.99B -$147.64B -79.38% 1.90% 1,445,004 Technology
40 APPLIED MATERIALS INC
AMAT
$235.99 $206.47 -12.51% $199.41B -$145.43B -72.93% 2.31% 5,298,583 Technology
41 TAIWAN SEMICON MFG LTD
TSM
$173.81 $161.94 -6.83% $901.35B -$140.64B -15.60% 0.61% 15,923,213 Technology
42 DANAHER CORP
DHR
$249.85 $273.91 9.63% $185.66B -$140.19B -75.51% 2.21% 3,104,585 Healthcare
43 ACCENTURE PLC
ACN
$303.41 $328.46 8.26% $193.76B -$137.6B -71.02% 2.32% 3,634,860 Technology
44 AMERICAN EXPRESS COMPANY
AXP
$231.55 $245.89 6.19% $170.42B -$135.34B -79.41% 1.87% 2,792,206 Financial Services
45 CISCO SYSTEMS
CSCO
$47.51 $47.88 0.78% $195.03B -$134.14B -68.78% 2.79% 19,969,806 Technology
46 SERVICENOW INC
NOW
$786.67 $827.61 5.20% $161.73B -$133.21B -82.37% 2.91% 1,467,016 Technology
47 ABBOTT LABS
ABT
$103.91 $105.24 1.28% $181.74B -$129.23B -71.11% 2.23% 6,109,347 Healthcare
48 MORGAN STANLEY
MS
$97.19 $104.19 7.20% $159.97B -$128.66B -80.42% 1.18% 6,257,045 Financial Services
49 INTUITIVE SURGICAL INC
ISRG
$444.85 $441.30 -0.80% $158.99B -$127.96B -80.49% 2.04% 1,439,944 Healthcare
50 COMCAST CORP
CMCSA
$39.16 $39.69 1.35% $162.44B -$124.18B -76.45% 1.86% 19,897,295 Communication Services
51 MCDONALDS CORP
MCD
$254.84 $252.00 -1.11% $186.62B -$123.2B -66.02% 1.97% 3,740,042 Consumer Cyclical
52 AMGEN INC
AMGN
$312.45 $334.85 7.17% $168.1B -$121.84B -72.48% 2.51% 2,465,514 Healthcare
53 PHILIP MORRIS INTL
PM
$101.33 $113.36 11.87% $157.52B -$121.26B -76.98% 1.25% 4,860,491 Consumer Defensive
54 UBER TECHNOLOGIES INC
UBER
$72.68 $64.40 -11.39% $152.03B -$119.44B -78.56% 1.23% 17,781,152 Technology
55 BOOKING HLDGS INC
BKNG
$3,961.50 $3,700.99 -6.58% $144.71B -$118.58B -81.94% 1.58% 227,495 Consumer Cyclical
56 WALT DISNEY CO-DISNEY
DIS
$99.29 $89.93 -9.43% $181.7B -$117.61B -64.73% 2.07% 10,718,755 Communication Services
57 S&P GLOBAL INC
SPGI
$446.00 $489.82 9.83% $142.23B -$114.84B -80.74% 2.49% 1,129,454 Financial Services
58 LAM RESEARCH CORP
LRCX
$1,064.85 $894.64 -15.98% $144.64B -$112.95B -78.09% 1.47% 955,383 Technology
59 MICRON TECHNOLOGY INC
MU
$131.53 $109.41 -16.82% $145.85B -$112.83B -77.36% 1.95% 21,666,126 Technology
60 CATERPILLAR INC
CAT
$333.10 $350.48 5.22% $171.08B -$111.18B -64.99% 1.62% 3,035,427 Industrials
61 TJX COMPANIES INC
TJX
$110.10 $111.83 1.57% $127.61B -$108.26B -84.84% 2.96% 5,936,837 Consumer Cyclical
62 NEXTERA ENERGY INC
NEE
$70.81 $74.26 4.87% $145.48B -$107.97B -74.22% 2.24% 11,546,054 Utilities
63 RTX CORPORATION COM
RTX
$100.39 $113.95 13.51% $144.1B -$107.87B -74.86% 1.71% 6,482,883 Industrials
64 ELEVANCE HEALTH INC.
ELV
$541.86 $527.50 -2.65% $128.64B -$107.66B -83.69% 1.87% 1,066,667 Healthcare
65 CONOCOPHILLIPS
COP
$114.38 $110.86 -3.08% $137.91B -$107.29B -77.80% 1.55% 5,906,229 Energy
66 SCHWAB CHARLES CORP
SCHW
$73.69 $66.60 -9.62% $134.93B -$107.15B -79.42% 1.38% 8,317,227 Financial Services
67 VERTEX PHARMACEUTICALS INC
VRTX
$468.72 $495.26 5.66% $122.1B -$105.62B -86.50% 1.73% 1,188,129 Healthcare
68 UNION PACIFIC CORPORATION
UNP
$226.26 $240.36 6.23% $138.06B -$103.7B -75.11% 2.63% 2,278,073 Industrials
69 HONEYWELL INTERNATIONAL INC
HON
$213.54 $202.74 -5.06% $142.69B -$103.53B -72.56% 1.88% 2,689,467 Industrials
70 GOLDMAN SACHS GROUP INC
GS
$452.32 $499.03 10.33% $156.41B -$102.81B -65.73% 1.89% 2,218,736 Financial Services
71 VERIZON COMMUNICATIONS
VZ
$41.24 $40.09 -2.79% $173.83B -$102.77B -59.12% 2.05% 17,359,552 Communication Services
72 PFIZER INC
PFE
$27.98 $30.77 9.97% $159.74B -$101.1B -63.29% 1.62% 36,726,242 Healthcare
73 PROGRESSIVE CORP
PGR
$207.71 $215.68 3.84% $122.03B -$100.11B -82.04% 1.64% 2,586,847 Financial Services
74 BOSTON SCIENTIFIC CORP
BSX
$77.01 $74.92 -2.71% $113.22B -$98.8B -87.27% 1.39% 5,884,603 Healthcare
75 EATON CORP PLC
ETN
$313.55 $297.79 -5.03% $125.76B -$98.49B -78.31% 3.08% 2,194,119 Industrials
76 STRYKER CORP
SYK
$340.25 $331.67 -2.52% $130.55B -$95.11B -72.85% 2.25% 1,293,526 Healthcare
77 REGENERON PHARMACEUTICALS INC
REGN
$1,051.03 $1,078.63 2.63% $119.5B -$94.53B -79.11% 1.25% 438,575 Healthcare
78 ANALOG DEVICES INC
ADI
$228.26 $226.43 -0.80% $115.49B -$93.38B -80.85% 2.82% 3,154,427 Technology
79 KLA CORPORATION
KLAC
$824.51 $787.39 -4.50% $115.63B -$93.17B -80.58% 1.93% 831,868 Technology
80 PROLOGIS, INC
PLD
$112.31 $122.68 9.23% $109.52B -$92.73B -84.67% 2.28% 4,126,152 Real Estate
81 INTL BUSINESS MACHINES CORP
IBM
$172.95 $191.75 10.87% $159.47B -$90.14B -56.53% 1.91% 3,697,785 Technology
82 BLACKROCK INC
BLK
$787.32 $856.20 8.75% $118.65B -$89.92B -75.79% 2.02% 582,467 Financial Services
83 T-MOBILE US INC
TMUS
$176.18 $175.53 -0.37% $211.47B -$89.42B -42.29% 0.76% 5,001,983 Communication Services
84 LOWES COMPANIES INC
LOW
$220.46 $238.87 8.35% $128.75B -$88.35B -68.62% 2.88% 2,600,362 Consumer Cyclical
85 MARSH & MCLENNAN COS INC
MMC
$210.72 $217.97 3.44% $105.15B -$88.14B -83.82% 2.06% 1,641,613 Financial Services
86 CHUBB LTD COM
CB
$255.08 $270.06 5.87% $105.65B -$87.92B -83.22% 2.74% 1,521,622 Financial Services
87 CITIGROUP
C
$63.46 $65.18 2.71% $124.12B -$83.5B -67.28% 2.17% 12,111,762 Financial Services
88 MEDTRONIC PLC
MDT
$78.71 $78.70 -0.01% $104.7B -$82.57B -78.86% 2.23% 6,435,732 Healthcare
89 INTEL CORP
INTC
$30.97 $31.35 1.23% $131.84B -$82.26B -62.39% 1.54% 47,880,808 Technology
90 AMERICAN TOWER CORP REIT
AMT
$194.38 $213.72 9.95% $90.81B -$80B -88.10% 2.71% 2,186,665 Real Estate
91 LOCKHEED MARTIN CORP
LMT
$467.10 $524.80 12.35% $117.34B -$79.93B -68.12% 1.86% 975,304 Industrials
92 THE CIGNA GROUP COM
CI
$330.57 $343.64 3.95% $98.14B -$79.44B -80.94% 1.94% 1,560,755 Healthcare
93 PALO ALTO NETWORKS, INC
PANW
$339.01 $326.81 -3.60% $116.04B -$78.61B -67.74% 2.37% 3,332,532 Technology
94 ASML HOLDING NV NY REG SHS
ASML
$1,022.73 $888.39 -13.14% $403.06B -$77.08B -19.12% 0.28% 1,112,381 Technology
95 AT&T INC
T
$19.11 $19.01 -0.52% $138.7B -$76.36B -55.05% 1.19% 33,476,406 Communication Services
96 FISERV INC
FI
$149.04 $159.94 7.31% $91.79B -$75.56B -82.31% 2.79% 2,463,431 Technology
97 CHIPOLTE MEXICAN GRILL INC
CMG
$62.65 $49.83 -20.46% $86.8B -$75.3B -86.75% 1.10% 17,046,140 Consumer Cyclical
98 AUTOMATIC DATA PROCESSING
ADP
$238.69 $252.67 5.86% $99.22B -$75.12B -75.70% 2.19% 1,497,791 Industrials
99 AMPHENOL CORP
APH
$67.37 $63.86 -5.21% $80.93B -$73.38B -90.68% 2.02% 7,386,367 Technology
100 SYNOPSYS INC
SNPS
$595.06 $546.38 -8.18% $92.35B -$73.21B -79.28% 2.65% 824,575 Technology
Goto 2024Q2, 2024Q1, 2023Q4, ..., 2014Q1, 2013Q4, Next