Quarterly Top Stocks Sold by Hedge Funds in Dollar Amount - 2013Q4

  • 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, 2024-05-09.
Goto Prev, 2024Q1, 2023Q4, ..., 2014Q2, 2014Q1, 2013Q4
# 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 SANOFI-ADR
SNY
$53.63 $50.10 -6.58% $124.69B -$48.71B -39.06% 9.51% 2,041,940 Healthcare
2 PERRIGO COMPANY PLC
PRGO
$153.46 $31.11 -79.73% $20.8B -$5.96B -28.68% 33.76% 2,010,024 Healthcare
3 INTL BUSINESS MACHINES CORP
IBM
$187.57 $169.90 -9.42% $172.95B -$4.09B -2.37% 66.70% 4,577,290 Technology
4 PFIZER INC
PFE
$29.06 $28.27 -2.72% $174.87B -$3.79B -2.17% 78.15% 42,456,437 Healthcare
5 CHEVRON CORPORATION
CVX
$124.91 $162.54 30.13% $234.83B -$2.83B -1.20% 64.63% 8,150,126 Energy
6 MASTERCARD INCORPORATED C
MA
$83.55 $454.77 444.34% $790.34B -$2.82B -0.36% 9.42% 2,436,455 Financial Services
7 AT&T INC
T
$26.54 $17.11 -35.52% $255.22B -$2.71B -1.06% 38.04% 36,440,278 Communication Services
8 CISCO SYSTEMS
CSCO
$22.43 $48.00 114.00% $92.08B -$2.54B -2.76% 93.28% 19,341,688 Technology
9 HOME DEPOT INC
HD
$82.34 $338.83 311.50% $82.5B -$1.79B -2.17% 100.54% 3,480,921 Consumer Cyclical
10 AMAZON COM INC
AMZN
$19.94 $188.00 842.85% $4.18T -$1.74B -0.04% 2.95% 41,641,032 Consumer Cyclical
11 HESS CORPORATION
HES
$83.00 $157.66 89.95% $25.57B -$1.69B -6.59% 81.04% 2,699,436 Energy
12 FISERV INC
FI
$177.15 $153.29 -13.47% $36.37B -$1.66B -4.55% 41.79% 2,516,891 Technology
13 NIKE INC
NKE
$39.32 $93.59 138.02% $123.45B -$1.59B -1.29% 37.26% 9,336,855 Consumer Cyclical
14 3M COMPANY
MMM
$117.27 $96.35 -17.84% $77.68B -$1.54B -1.98% 82.36% 6,057,420 Industrials
15 CVS HEALTH CORPORATION
CVS
$71.57 $54.91 -23.28% $92.33B -$1.39B -1.50% 77.02% 10,846,508 Healthcare
16 LYONDELLBASELL IND NV
LYB
$80.28 $102.18 27.28% $26.17B -$1.33B -5.09% 121.68% 2,018,906 Basic Materials
17 WALT DISNEY CO-DISNEY
DIS
$76.40 $105.44 38.01% $140.14B -$1.28B -0.92% 60.09% 11,037,708 Communication Services
18 NORTHROP GRUMMAN CP
NOC
$114.61 $471.61 311.49% $17.42B -$1.27B -7.32% 122.67% 969,442 Industrials
19 BOEING CO
BA
$136.49 $180.35 32.13% $83.79B -$1.27B -1.52% 91.09% 7,849,770 Industrials
20 ILLINOIS TOOL WORKS
ITW
$84.08 $247.40 194.24% $25.53B -$1.23B -4.80% 111.37% 1,290,436 Industrials
21 MCDONALDS CORP
MCD
$97.03 $268.49 176.71% $71.06B -$1.2B -1.69% 86.76% 3,245,444 Consumer Cyclical
22 LOWES COMPANIES INC
LOW
$49.55 $232.07 368.36% $28.94B -$1.18B -4.08% 135.48% 2,373,332 Consumer Cyclical
23 OCCIDENTAL PETROLEUM CORP
OXY
$91.11 $63.68 -30.11% $91.38B -$1.1B -1.20% 65.60% 8,199,732 Energy
24 TRAVELERS COMPANIES, INC.
TRV
$90.54 $217.34 140.05% $21.02B -$1.09B -5.18% 124.57% 1,392,524 Financial Services
25 NETAPP INC
NTAP
$41.14 $109.48 166.12% $9.05B -$1.09B -12.00% 137.32% 1,967,221 Technology
26 BANCO SANTANDER BRASIL SA ADS
BSBR
$6.10 $5.72 -6.23% $45.57B -$1.04B -2.27% 5.03% 443,204 Financial Services
27 DELTA AIR LINES INC
DAL
$27.47 $52.28 90.32% $17.73B -$1.03B -5.78% 114.47% 10,043,573 Industrials
28 GILEAD SCIENCES INC
GILD
$75.10 $64.92 -13.56% $94.48B -$1.02B -1.08% 112.66% 7,291,442 Healthcare
29 UNION PACIFIC CORPORATION
UNP
$84.00 $245.90 192.74% $102.51B -$1.02B -0.99% 59.59% 2,219,155 Industrials
30 CAPITAL ONE FINANCIAL CORP
COF
$76.61 $142.83 86.44% $29.37B -$988.2M -3.36% 132.19% 2,692,473 Financial Services
31 FEDEX CORPORATION
FDX
$143.77 $258.01 79.46% $36.81B -$965.29M -2.62% 95.81% 1,792,047 Industrials
32 LAS VEGAS SANDS CORP
LVS
$78.87 $46.77 -40.70% $60.34B -$962.17M -1.59% 41.16% 4,637,639 Consumer Cyclical
33 NETFLIX COM INC
NFLX
$52.60 $609.47 1,058.78% $165.49B -$910.95M -0.55% 11.50% 3,625,895 Communication Services
34 SYSCO CORP
SYY
$36.10 $74.62 106.70% $18.4B -$859.42M -4.67% 88.48% 2,714,600 Consumer Defensive
35 SCHLUMBERGER LTD
SLB
$90.11 $47.86 -46.89% $130.03B -$827.9M -0.64% 70.38% 9,296,854 Energy
36 SUNCOR ENERGY INC
SU
$35.05 $39.04 11.38% $45.93B -$817.12M -1.78% 65.18% 4,533,711 Energy
37 3 D SYSTEMS CORP
DDD
$92.93 $3.66 -96.06% $12.4B -$794.55M -6.41% 37.46% 1,639,596 Technology
38 PHILIP MORRIS INTL
PM
$87.13 $98.25 12.76% $135.45B -$775.78M -0.57% 70.20% 6,016,378 Consumer Defensive
39 STARBUCKS CORPORATION
SBUX
$39.19 $73.50 87.52% $90.25B -$745.08M -0.83% 48.09% 9,698,742 Consumer Cyclical
40 UNITEDHEALTH GROUP INC
UNH
$75.30 $503.21 568.27% $70.63B -$738.7M -1.05% 92.32% 4,366,165 Healthcare
41 TORONTO-DOMINION BANK
TD
$47.12 $56.01 18.87% $171.93B -$734.78M -0.43% 26.77% 3,106,954 Financial Services
42 LOCKHEED MARTIN CORP
LMT
$148.66 $466.16 213.57% $37.34B -$727.09M -1.95% 109.74% 1,131,475 Industrials
43 CF INDUSTRIES HOLDINGS, INC.
CF
$46.61 $73.25 57.16% $45.16B -$711.24M -1.57% 25.91% 2,729,883 Basic Materials
44 CORNING INCORPORATED
GLW
$17.82 $33.93 90.40% $15.31B -$700.04M -4.57% 118.56% 4,639,537 Technology
45 BERKSHIRE HATHWY INCA
BRK-A
$177,901.36 $612,100.00 244.07% $257.76B -$699.64M -0.27% 10.66% 13,931 Financial Services
46 STATE STREET CORP
STT
$73.39 $75.32 2.63% $23.97B -$695.37M -2.90% 116.30% 2,391,021 Financial Services
47 EOG RESOURCES,INC
EOG
$83.92 $129.83 54.71% $98.02B -$667.83M -0.68% 41.79% 3,576,837 Energy
48 DOLLAR TREE INC HOLDIN
DLTR
$56.42 $119.57 111.93% $12.38B -$649.98M -5.25% 87.67% 2,944,991 Consumer Defensive
49 ORACLE CORPORATION
ORCL
$38.26 $117.39 206.82% $105.83B -$649.47M -0.61% 97.75% 8,444,101 Technology
50 ROYAL BANK OF CANADA
RY
$67.23 $101.85 51.50% $94.67B -$638.77M -0.67% 46.63% 1,175,703 Financial Services
51 AMERIPRISE FINANCIAL, INC
AMP
$115.05 $425.94 270.22% $12.4B -$627.64M -5.06% 155.01% 482,088 Financial Services
52 DUKE ENERGY CORPORATION CO
DUK
$69.01 $102.38 48.36% $53.26B -$592.35M -1.11% 47.90% 3,039,614 Utilities
53 CDN NATL RAILWAY FULLY PD SHS
CNI
$57.02 $125.85 120.71% $37.58B -$591.67M -1.57% 66.91% 986,195 Industrials
54 PPG INDUSTRIES INC
PPG
$94.83 $133.43 40.71% $44.99B -$571.78M -1.27% 42.28% 1,758,124 Basic Materials
55 ASML HOLDING NV NY REG SHS
ASML
$93.70 $911.47 872.76% $36.93B -$571.69M -1.55% 16.94% 1,113,998 Technology
56 TOTALENERGIES SE
TTE
$61.27 $72.15 17.76% $149.12B -$560.53M -0.38% 6.12% 1,515,170 Energy
57 PEPSICO INC
PEP
$82.94 $177.41 113.90% $114.71B -$559.97M -0.49% 76.75% 5,827,934 Consumer Defensive
58 GENUINE PARTS CO
GPC
$83.19 $154.35 85.54% $11.73B -$551.72M -4.70% 79.72% 1,143,268 Consumer Cyclical
59 OPEN TEXT CORP
OTEX
$22.99 $30.53 32.80% $25.02B -$551.33M -2.20% 16.31% 701,777 Technology
60 AMERICAN INTL GROUP INC
AIG
$51.05 $79.89 56.49% $37.02B -$540.47M -1.46% 169.34% 4,239,936 Financial Services
61 DISCOVER FINANCIAL SERVICES
DFS
$55.95 $123.57 120.86% $14.21B -$524.86M -3.69% 155.62% 1,998,313 Financial Services
62 CEMEX, S.A.B. DE C.V. ADS
CX
$10.11 $7.76 -23.26% $17.88B -$521.02M -2.91% 30.07% 6,967,608 Basic Materials
63 INTUIT INC
INTU
$76.32 $632.43 728.66% $21.6B -$518.48M -2.40% 90.39% 1,272,609 Technology
64 CHIPOLTE MEXICAN GRILL INC
CMG
$10.66 $3,183.25 29,774.03% $14.76B -$501.92M -3.40% 105.06% 239,198 Consumer Cyclical
65 GAP INC
GPS
$39.08 $22.41 -42.66% $14.69B -$501.67M -3.41% 63.21% 8,308,727 Consumer Cyclical
66 BP PLC ADS
BP
$48.61 $37.53 -22.79% $143.81B -$500.13M -0.35% 13.45% 9,358,660 Energy
67 AVALONBAY COMMUNITIES INC
AVB
$118.23 $194.90 64.85% $16.79B -$490.21M -2.92% 88.62% 735,272 Real Estate
68 MICRON TECHNOLOGY INC
MU
$21.75 $119.32 448.57% $24.09B -$486.18M -2.02% 90.86% 23,107,722 Technology
69 BLACKROCK INC
BLK
$316.47 $778.33 145.94% $47.69B -$478.43M -1.00% 97.27% 608,177 Financial Services
70 HERBALIFE LTD
HLF
$39.35 $10.31 -73.80% $7.89B -$477.24M -6.05% 89.34% 2,676,114 Consumer Defensive
71 MOTOROLA SOLUTIONS INC
MSI
$67.50 $359.02 431.88% $11.62B -$458.37M -3.95% 131.77% 681,168 Technology
72 HCA HEALTHCARE INC
HCA
$47.71 $309.42 548.54% $13.19B -$452.03M -3.43% 120.96% 1,030,447 Healthcare
73 BREAD FINANCIAL HOLDINGS INC.
BFH
$209.84 $39.98 -80.95% $13.15B -$448.32M -3.41% 120.18% 792,931 Financial Services
74 ALASKA AIR GROUP INC
ALK
$36.69 $43.29 18.00% $9.44B -$440.86M -4.67% 48.21% 2,265,555 Industrials
75 MACY'S INC.
M
$53.40 $19.06 -64.31% $14.86B -$440.7M -2.97% 114.00% 7,339,195 Consumer Cyclical
76 PIONEER NAT RES CO
PXD
$184.07 $269.62 46.48% $44.54B -$432.28M -0.97% 52.69% 2,073,731 Energy
77 MAGNA INTL COM
MGA
$41.03 $47.08 14.75% $23.57B -$415.65M -1.76% 46.85% 1,611,449 Consumer Cyclical
78 ECOLAB INC
ECL
$104.27 $233.23 123.68% $29.87B -$415.42M -1.39% 79.17% 1,265,118 Basic Materials
79 HARTFORD FIN SER GP INC
HIG
$36.23 $99.68 175.13% $11.29B -$413.47M -3.66% 131.51% 1,768,277 Financial Services
80 MELCO RESORTS & ENTMT LTD
MLCO
$39.22 $7.84 -80.01% $17.19B -$413.24M -2.40% 31.37% 3,569,113 Consumer Cyclical
81 WHIRLPOOL CORPORATION
WHR
$156.86 $94.89 -39.51% $8.66B -$403.9M -4.66% 126.36% 1,444,940 Consumer Cyclical
82 BOSTON SCIENTIFIC CORP
BSX
$12.02 $72.72 504.99% $17.67B -$402.31M -2.28% 78.80% 6,342,129 Healthcare
83 HALLIBURTON CO COM
HAL
$50.75 $37.04 -27.01% $45.78B -$395.54M -0.86% 73.13% 6,360,455 Energy
84 TAIWAN SEMICON MFG LTD
TSM
$17.44 $143.60 723.39% $452.21B -$392.12M -0.09% 3.88% 15,570,534 Technology
85 IDEXX LABORATORIES CORP
IDXX
$53.18 $487.07 815.80% $8.93B -$389.95M -4.37% 61.05% 417,986 Healthcare
86 FIFTH THIRD BANCORP
FITB
$21.03 $38.48 82.98% $14.46B -$370.35M -2.56% 99.64% 5,046,824 Financial Services
87 SALESFORCE,INC
CRM
$55.19 $278.97 405.47% $54.31B -$369.54M -0.68% 59.93% 5,681,354 Technology
88 EBAY INC
EBAY
$23.09 $49.69 115.19% $29.24B -$368.69M -1.26% 198.59% 6,910,973 Consumer Cyclical
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