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, 2024-04-15.
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 $421.90 0.28% $3.14T -$2.21T -70.18% 0.50% 21,923,196 Technology
2 APPLE INC
AAPL
$171.48 $176.55 2.96% $2.71T -$1.59T -58.55% 0.43% 61,107,580 Technology
3 NVIDIA CORP
NVDA
$903.56 $881.86 -2.40% $2.26T -$1.46T -64.74% 0.46% 52,950,198 Technology
4 AMAZON COM INC
AMZN
$180.38 $186.13 3.19% $1.89T -$1.13T -59.69% 0.41% 42,725,609 Consumer Cyclical
5 ALPHABET INC CAP STK
GOOGL
$150.93 $157.73 4.51% $1.92T -$680.46B -35.44% 0.33% 31,710,167 Communication Services
6 ELI LILLY AND CO
LLY
$777.96 $751.64 -3.38% $739.66B -$606.23B -81.96% 0.40% 3,081,637 Healthcare
7 ALPHABET INC CAP STK
GOOG
$152.26 $159.19 4.55% $1.94T -$511.15B -26.39% 0.18% 23,362,462 Communication Services
8 BROADCOM INC
AVGO
$1,325.41 $1,344.07 1.41% $614.22B -$466.88B -76.01% 0.44% 3,035,850 Technology
9 VISA INC CLASS A COM
V
$279.08 $275.96 -1.12% $581.88B -$417.01B -71.67% 0.60% 5,775,911 Financial Services
10 JPMORGAN CHASE & CO
JPM
$200.30 $182.79 -8.74% $611.54B -$409.25B -66.92% 0.60% 8,544,073 Financial Services
11 UNITEDHEALTH GROUP INC
UNH
$494.70 $439.20 -11.22% $464.03B -$398.53B -85.88% 0.44% 4,422,278 Healthcare
12 BERKSHIRE HATHWY INCB
BRK-B
$420.52 $403.26 -4.10% $912.53B -$353.21B -38.71% 0.35% 3,495,586 Financial Services
13 MASTERCARD INCORPORATED C
MA
$481.57 $465.38 -3.36% $455.57B -$340.63B -74.77% 0.52% 2,441,086 Financial Services
14 EXXON MOBIL CORPORATION
XOM
$116.24 $120.37 3.55% $471B -$283.22B -60.13% 0.45% 18,162,509 Energy
15 HOME DEPOT INC
HD
$383.60 $342.87 -10.62% $384.37B -$266.72B -69.39% 0.60% 3,347,024 Consumer Cyclical
16 JOHNSON AND JOHNSON
JNJ
$158.19 $147.52 -6.75% $405.03B -$262.56B -64.82% 0.56% 7,194,629 Healthcare
17 MERCK & CO INC
MRK
$131.95 $125.74 -4.71% $336.08B -$252.02B -74.99% 0.74% 8,435,511 Healthcare
18 PROCTER & GAMBLE
PG
$162.25 $155.33 -4.27% $403.01B -$248.13B -61.57% 0.59% 6,810,163 Consumer Defensive
19 TESLA INC
TSLA
$175.79 $171.05 -2.70% $612.63B -$243.14B -39.69% 0.17% 102,815,070 Consumer Cyclical
20 SALESFORCE,INC
CRM
$301.18 $294.32 -2.28% $296.36B -$232.37B -78.41% 0.43% 5,576,567 Technology
21 ABBVIE INC
ABBV
$182.10 $162.28 -10.88% $322.86B -$223.7B -69.29% 0.58% 5,623,340 Healthcare
22 COSTCO WHOLESALE CORP-
COST
$732.63 $731.31 -0.18% $325.62B -$220.31B -67.66% 0.54% 2,126,849 Consumer Defensive
23 NETFLIX COM INC
NFLX
$607.33 $622.83 2.55% $272.99B -$211.64B -77.52% 0.37% 4,289,790 Communication Services
24 BANK OF AMERICA CORP
BAC
$37.92 $35.79 -5.62% $306.41B -$210.12B -68.58% 0.38% 39,542,191 Financial Services
25 CHEVRON CORPORATION
CVX
$157.74 $158.96 0.77% $296.6B -$209.83B -70.75% 0.60% 8,549,355 Energy
26 ADVANCED MICRO DEVICES
AMD
$180.49 $163.28 -9.54% $293.3B -$204.24B -69.63% 0.34% 77,506,872 Technology
27 THERMO FISHER SCIENTIFIC INC.
TMO
$581.21 $565.23 -2.75% $225.51B -$195.97B -86.90% 0.77% 1,475,083 Healthcare
28 ADOBE INC
ADBE
$504.60 $474.09 -6.05% $231.61B -$184.37B -79.60% 0.53% 3,803,791 Technology
29 COCA-COLA CO
KO
$61.18 $58.28 -4.74% $265.46B -$184.08B -69.34% 0.40% 14,045,419 Consumer Defensive
30 LINDE PLC SHS
LIN
$464.32 $447.41 -3.64% $228.58B -$183.43B -80.25% 0.42% 2,459,286 Basic Materials
31 PEPSICO INC
PEP
$175.01 $168.10 -3.95% $242.04B -$173.68B -71.76% 0.76% 5,849,768 Consumer Defensive
32 WAL-MART INC
WMT
$60.17 $60.14 -0.05% $487.92B -$164.63B -33.74% 0.22% 19,545,711 Consumer Defensive
33 ACCENTURE PLC
ACN
$346.61 $315.40 -9.00% $221.34B -$161.93B -73.16% 0.49% 2,351,921 Technology
34 WELLS FARGO & CO
WFC
$57.96 $56.47 -2.57% $215.63B -$156.52B -72.58% 0.29% 18,558,419 Financial Services
35 INTUIT INC
INTU
$650.00 $621.11 -4.44% $183.95B -$151.47B -82.34% 0.45% 1,251,216 Technology
36 ABBOTT LABS
ABT
$113.66 $109.11 -4.00% $198.79B -$147.21B -74.05% 0.47% 5,753,354 Healthcare
37 ORACLE CORPORATION
ORCL
$125.61 $121.11 -3.58% $347.44B -$146.07B -42.04% 0.36% 8,945,031 Technology
38 CISCO SYSTEMS
CSCO
$49.91 $48.49 -2.85% $204.88B -$146B -71.26% 0.95% 20,027,785 Technology
39 WALT DISNEY CO-DISNEY
DIS
$122.36 $114.01 -6.82% $224.44B -$145.81B -64.96% 0.59% 12,482,208 Communication Services
40 DANAHER CORP
DHR
$249.72 $239.95 -3.91% $185.57B -$145.16B -78.22% 0.43% 2,648,132 Healthcare
41 COMCAST CORP
CMCSA
$43.35 $39.37 -9.18% $179.82B -$143.77B -79.96% 0.65% 21,534,411 Communication Services
42 GEN ELEC CO COM
GE
$175.53 $154.63 -11.91% $196.14B -$142.66B -72.73% 0.26% 8,565,404 Industrials
43 MCDONALDS CORP
MCD
$281.95 $267.39 -5.16% $206.47B -$142.22B -68.88% 0.49% 3,290,604 Consumer Cyclical
44 QUALCOMM INC
QCOM
$169.30 $171.29 1.18% $190.63B -$138.93B -72.88% 0.80% 8,922,177 Technology
45 AMERICAN EXPRESS COMPANY
AXP
$227.69 $218.20 -4.17% $167.58B -$138.01B -82.36% 0.55% 3,106,403 Financial Services
46 APPLIED MATERIALS INC
AMAT
$206.23 $207.86 0.79% $174.26B -$136.6B -78.38% 0.48% 6,308,250 Technology
47 SERVICENOW INC
NOW
$762.40 $768.71 0.83% $156.74B -$135.04B -86.15% 0.61% 1,215,865 Technology
48 TEXAS INSTRUMENTS
TXN
$174.21 $166.33 -4.52% $159.58B -$133.36B -83.57% 0.84% 5,591,467 Technology
49 UBER TECHNOLOGIES INC
UBER
$76.99 $75.28 -2.22% $161.05B -$130.32B -80.92% 0.23% 18,788,326 Technology
50 MORGAN STANLEY
MS
$94.16 $86.19 -8.46% $154.99B -$129.27B -83.41% 0.38% 8,922,973 Financial Services
51 CATERPILLAR INC
CAT
$366.43 $365.63 -0.22% $188.2B -$128.49B -68.27% 0.52% 2,452,919 Industrials
52 CONOCOPHILLIPS
COP
$127.28 $131.20 3.08% $153.46B -$122.64B -79.92% 0.33% 5,608,813 Energy
53 INTEL CORP
INTC
$44.17 $35.69 -19.20% $186.75B -$119.78B -64.14% 0.40% 48,229,355 Technology
54 UNION PACIFIC CORPORATION
UNP
$245.93 $234.40 -4.69% $150.07B -$119.69B -79.76% 0.53% 2,323,329 Industrials
55 INTUITIVE SURGICAL INC
ISRG
$399.09 $384.80 -3.58% $142.63B -$117.61B -82.45% 0.40% 1,603,421 Healthcare
56 S&P GLOBAL INC
SPGI
$425.45 $417.81 -1.80% $136.25B -$115.91B -85.07% 0.44% 1,375,432 Financial Services
57 AMGEN INC
AMGN
$284.32 $267.28 -5.99% $152.96B -$115.4B -75.44% 0.70% 2,957,368 Healthcare
58 TAIWAN SEMICON MFG LTD
TSM
$136.05 $142.52 4.76% $705.53B -$115.13B -16.32% 0.23% 16,518,603 Technology
59 BOOKING HLDGS INC
BKNG
$3,627.88 $3,531.80 -2.65% $132.53B -$113.12B -85.36% 0.71% 285,647 Consumer Cyclical
60 PROLOGIS, INC
PLD
$130.22 $119.00 -8.62% $126.98B -$111.61B -87.90% 0.37% 3,245,377 Real Estate
61 PHILIP MORRIS INTL
PM
$91.62 $88.85 -3.02% $142.29B -$111.17B -78.13% 0.51% 5,656,526 Consumer Defensive
62 RTX CORPORATION COM
RTX
$97.53 $100.10 2.64% $139.99B -$111.14B -79.39% 0.55% 8,566,419 Industrials
63 VERIZON COMMUNICATIONS
VZ
$41.96 $39.72 -5.34% $176.86B -$108.47B -61.33% 0.50% 19,173,290 Communication Services
64 ELEVANCE HEALTH INC.
ELV
$518.54 $497.49 -4.06% $123.1B -$107.16B -87.05% 0.44% 1,032,900 Healthcare
65 LAM RESEARCH CORP
LRCX
$971.57 $957.04 -1.50% $131.97B -$106.97B -81.05% 0.37% 1,054,265 Technology
66 LOWES COMPANIES INC
LOW
$254.73 $232.05 -8.90% $148.76B -$106.8B -71.79% 0.97% 2,611,598 Consumer Cyclical
67 PFIZER INC
PFE
$27.75 $25.86 -6.81% $158.42B -$106.6B -67.29% 0.43% 43,121,160 Healthcare
68 MICRON TECHNOLOGY INC
MU
$117.89 $122.52 3.93% $130.55B -$104.55B -80.08% 0.32% 21,238,078 Technology
69 STRYKER CORP
SYK
$357.87 $342.05 -4.42% $137.31B -$104.1B -75.81% 0.56% 1,267,639 Healthcare
70 TJX COMPANIES INC
TJX
$101.42 $94.42 -6.90% $117.55B -$103.66B -88.18% 0.79% 5,162,044 Consumer Cyclical
71 EATON CORP PLC
ETN
$312.68 $318.50 1.86% $125.42B -$102.6B -81.81% 0.73% 1,972,903 Industrials
72 PROGRESSIVE CORP
PGR
$206.82 $203.90 -1.41% $121.51B -$102.51B -84.36% 0.72% 2,622,381 Financial Services
73 NEXTERA ENERGY INC
NEE
$63.91 $63.08 -1.30% $131.17B -$102.5B -78.14% 0.57% 12,315,422 Utilities
74 INTL BUSINESS MACHINES CORP
IBM
$190.96 $182.27 -4.55% $176.08B -$102.21B -58.05% 0.46% 5,080,016 Technology
75 HONEYWELL INTERNATIONAL INC
HON
$205.25 $196.16 -4.43% $137.15B -$100.77B -73.48% 0.63% 3,040,339 Industrials
76 BLACKROCK INC
BLK
$833.70 $763.40 -8.43% $125.64B -$99.35B -79.07% 0.55% 612,219 Financial Services
77 VERTEX PHARMACEUTICALS INC
VRTX
$418.01 $396.55 -5.13% $108.89B -$97.41B -89.45% 0.39% 1,265,931 Healthcare
78 GOLDMAN SACHS GROUP INC
GS
$417.69 $389.49 -6.75% $144.44B -$95.92B -66.41% 0.42% 2,288,814 Financial Services
79 MEDTRONIC PLC
MDT
$87.15 $80.13 -8.06% $116.15B -$94.3B -81.19% 0.47% 6,339,495 Healthcare
80 THE CIGNA GROUP COM
CI
$363.19 $349.84 -3.68% $107.82B -$91.79B -85.13% 0.39% 1,578,462 Healthcare
81 NIKE INC
NKE
$93.98 $92.00 -2.11% $147.53B -$91.45B -61.98% 0.32% 9,630,722 Consumer Cyclical
82 BOSTON SCIENTIFIC CORP
BSX
$68.49 $68.07 -0.61% $100.67B -$90.93B -90.32% 0.33% 6,439,565 Healthcare
83 MARSH & MCLENNAN COS INC
MMC
$205.98 $198.07 -3.84% $102.78B -$88.83B -86.43% 0.27% 1,706,381 Financial Services
84 REGENERON PHARMACEUTICALS INC
REGN
$962.49 $904.70 -6.00% $109.44B -$87.53B -79.99% 0.30% 471,642 Healthcare
85 T-MOBILE US INC
TMUS
$163.22 $160.05 -1.94% $195.91B -$87.27B -44.55% 0.20% 4,586,229 Communication Services
86 CHUBB LTD COM
CB
$259.13 $245.81 -5.14% $107.33B -$87.22B -81.26% 0.74% 1,744,701 Financial Services
87 CITIGROUP
C
$63.24 $59.68 -5.63% $123.68B -$86B -69.53% 0.38% 16,117,654 Financial Services
88 FISERV INC
FI
$159.82 $151.20 -5.39% $98.43B -$85.18B -86.53% 0.51% 2,502,414 Technology
89 AMERICAN TOWER CORP REIT
AMT
$197.59 $179.20 -9.31% $92.31B -$84.79B -91.86% 0.68% 2,456,114 Real Estate
90 ANALOG DEVICES INC
ADI
$197.79 $192.27 -2.79% $100.07B -$84.72B -84.66% 0.43% 3,444,534 Technology
91 BRISTOL MYERS SQUIBB COMPANY
BMY
$54.23 $48.28 -10.97% $112.69B -$83.27B -73.89% 0.52% 16,123,303 Healthcare
92 AUTOMATIC DATA PROCESSING
ADP
$249.74 $243.85 -2.36% $103.82B -$81.53B -78.53% 0.48% 1,895,081 Industrials
93 KLA CORPORATION
KLAC
$698.57 $680.78 -2.55% $97.96B -$81.33B -83.02% 0.37% 981,032 Technology
94 LOCKHEED MARTIN CORP
LMT
$454.87 $450.40 -0.98% $114.26B -$80.44B -70.40% 0.59% 1,181,145 Industrials
95 CVS HEALTH CORPORATION
CVS
$79.76 $68.64 -13.94% $102.89B -$80.34B -78.09% 0.63% 10,313,800 Healthcare
96 DEERE & CO
DE
$410.74 $397.27 -3.28% $117.84B -$77.5B -65.76% 0.68% 1,534,019 Industrials
97 BOEING CO
BA
$192.99 $169.55 -12.15% $117.75B -$75.65B -64.25% 0.48% 9,471,472 Industrials
98 GILEAD SCIENCES INC
GILD
$73.25 $68.07 -7.07% $92.15B -$75.61B -82.06% 0.67% 7,436,247 Healthcare
99 UNITED PARCEL SERVICE,INC.
UPS
$148.63 $144.91 -2.50% $127.82B -$75.41B -58.99% 0.68% 4,530,665 Industrials
100 MONDELEZ INTL INC
MDLZ
$70.00 $66.69 -4.73% $95.9B -$74.12B -77.29% 0.51% 7,881,665 Consumer Defensive
Goto 2024Q1, 2023Q4, 2023Q3, ..., 2014Q1, 2013Q4, Next