Top 100 stocks held by institutional investors

  1. Below are top 100 stocks most bought by hedge fund managers in the last 2 years.
  2. Total holders are calculated from the hedge fund quarterly reports.
  3. Click here for the list of all hedge funds.
Total Holders Symbol Name Recent Price Avg 3 Mon Volume Dividend Yield Sector
37626 MSFT Microsoft Corporation $374.23 24,840,739 0.74% Technology
36576 AAPL Apple Inc. $195.71 55,608,009 0.5% Technology
34161 AMZN Amazon.com, Inc. $147.42 53,772,168 Consumer Cyclical
31234 GOOGL Alphabet Inc. $134.99 28,051,368 Communication Services
29675 JNJ Johnson & Johnson $154.42 6,772,039 3.04% Healthcare
28834 JPM JPMorgan Chase & Co. $158.52 9,264,603 2.59% Financial Services
28279 SPY SPDR S&P 500 ETF Trust $460.17 81,561,120 1.43% ETF
27976 GOOG Alphabet Inc. $136.64 21,386,963 Communication Services
27820 BRK-B Berkshire Hathaway Inc. $353.08 3,246,204 Financial Services
27107 XOM Exxon Mobil Corporation $99.55 20,581,193 3.56% Energy
27007 V Visa Inc. $255.74 5,950,860 0.73% Financial Services
26706 PG The Procter & Gamble Company $145.15 6,289,298 2.43% Consumer Defensive
26430 HD The Home Depot, Inc. $326.47 3,035,369 2.67% Consumer Cyclical
25986 META Meta Platforms, Inc. $332.75 19,543,080 Communication Services
25821 NVDA NVIDIA Corporation $475.06 43,723,633 0.03% Technology
25464 CVX Chevron Corporation $144.31 10,076,655 4.21% Energy
25326 PFE Pfizer Inc. $28.78 31,396,747 5.38% Healthcare
24890 DIS The Walt Disney Company $92.82 13,628,304 Communication Services
24886 PEP PepsiCo, Inc. $165.68 5,492,539 2.94% Consumer Defensive
24813 MRK Merck & Co., Inc. $103.75 7,307,211 2.85% Healthcare
24695 ABBV AbbVie Inc. $149.28 4,940,504 4.16% Healthcare
24549 UNH UnitedHealth Group Incorporated $549.77 2,821,785 1.62% Healthcare
23948 CSCO Cisco Systems, Inc. $48.38 18,488,901 3.2% Technology
23376 COST Costco Wholesale Corporation $610.78 1,757,853 0.67% Consumer Defensive
22977 VZ Verizon Communications Inc. $38.25 22,324,169 6.81% Communication Services
22956 TSLA Tesla, Inc. $243.84 121,665,431 Consumer Cyclical
22915 MCD McDonald's Corporation $285.53 3,086,585 2.21% Consumer Cyclical
22624 KO The Coca-Cola Company $58.61 15,433,088 3.15% Consumer Defensive
22336 WMT Walmart Inc. $150.86 6,747,330 1.46% Consumer Defensive
21873 BAC Bank of America Corporation $30.96 46,143,015 3.02% Financial Services
21846 ABT Abbott Laboratories $104.51 5,925,307 1.96% Healthcare
21597 MA Mastercard Incorporated $412.16 2,525,511 0.55% Financial Services
21136 INTC Intel Corporation $42.70 37,988,188 1.66% Technology
20832 LLY Eli Lilly and Company $598.05 3,227,350 0.76% Healthcare
20619 IVV iShares Core S&P 500 ETF $462.35 4,693,257 1.46% ETF
20387 QQQ Invesco QQQ Trust $392.17 50,675,868 0.56% ETF
20240 BMY Bristol-Myers Squibb Company $50.31 13,226,841 4.62% Healthcare
19502 T AT&T Inc. $16.92 37,107,806 6.7% Communication Services
19394 ADBE Adobe Inc. $610.01 2,741,725 Technology
19351 IBM International Business Machines Corporation $161.96 4,152,734 4.18% Technology
19327 UNP Union Pacific Corporation $229.77 2,412,877 1.7% Industrials
19233 AMGN Amgen Inc. $269.12 2,461,031 3.16% Healthcare
19177 NEE NextEra Energy, Inc. $59.70 15,378,485 3.2% Utilities
19138 QCOM QUALCOMM Incorporated $132.97 8,199,079 2.44% Technology
18943 NKE NIKE, Inc. $115.91 8,618,331 1.57% Consumer Cyclical
18885 ORCL Oracle Corporation $113.61 9,405,095 1.31% Technology
18820 TMO Thermo Fisher Scientific Inc. $489.77 1,834,992 0.28% Healthcare
18779 RTX Raytheon Technologies Corporation $81.32 11,034,366 2.85% Industrials
18589 SBUX Starbucks Corporation $96.61 7,310,374 2.18% Consumer Cyclical
18523 CVS CVS Health Corporation $75.10 7,669,203 3.56% Healthcare
18481 HON Honeywell International Inc. $194.61 2,799,168 2.13% Industrials
18439 LOW Lowe's Companies, Inc. $207.83 2,808,344 2.16% Consumer Cyclical
18397 CMCSA Comcast Corporation $42.10 18,731,528 2.72% Communication Services
18025 CRM Salesforce, Inc. $250.81 5,035,180 Technology
17992 CAT Caterpillar Inc. $259.50 2,860,698 1.99% Industrials
17955 UPS United Parcel Service, Inc. $156.30 3,593,353 4.28% Industrials
17905 LMT Lockheed Martin Corporation $448.02 1,342,677 2.71% Industrials
17818 VTI Vanguard Total Stock Market Index Fund $228.85 3,307,636 1.48% ETF
17526 AVGO Broadcom Inc. $944.30 2,465,944 1.99% Technology
17412 VOO Vanguard 500 Index Fund $422.92 4,590,588 1.49% ETF
17201 PYPL PayPal Holdings, Inc. $58.94 15,065,436 Financial Services
17191 BA The Boeing Company $244.70 5,470,804 Industrials
16866 TXN Texas Instruments Incorporated $157.03 5,142,850 3.29% Technology
16804 MMM 3M Company $103.37 3,581,796 6.06% Industrials
16645 DHR Danaher Corporation $217.49 3,149,878 0.47% Healthcare
16633 ACN Accenture plc $337.23 1,957,650 1.4% Technology
16632 WFC Wells Fargo & Company $46.10 16,085,184 2.9% Financial Services
16589 IWM iShares Russell 2000 ETF $186.80 36,553,552 1.56% ETF
16527 COP ConocoPhillips $112.07 5,227,366 3.99% Energy
16495 DE Deere & Company $363.67 1,568,398 1.39% Industrials
16243 AXP American Express Company $168.43 3,107,490 1.36% Financial Services
16198 PM Philip Morris International Inc. $91.31 4,344,482 5.48% Consumer Defensive
16179 IJR iShares Core S&P Small-Cap ETF $100.35 4,657,811 1.61% ETF
16060 MDT Medtronic plc $79.35 6,798,838 3.46% Healthcare
16002 NFLX Netflix, Inc. $453.76 5,336,068 Communication Services
15963 ADP Automatic Data Processing, Inc. $229.27 1,633,030 2.17% Industrials
15883 TGT Target Corporation $135.19 5,026,314 3.28% Consumer Defensive
15233 GLD SPDR Gold Shares $185.66 8,219,974 ETF
15077 AMD Advanced Micro Devices, Inc. $128.92 53,212,663 Technology
15021 MO Altria Group, Inc. $41.30 8,635,055 9.04% Consumer Defensive
14934 GS The Goldman Sachs Group, Inc. $350.83 2,035,607 3.07% Financial Services
14822 VWO Vanguard Emerging Markets Stock Index Fund $40.21 9,764,000 3% ETF
14712 IJH iShares Core S&P Mid-Cap ETF $263.15 1,571,712 1.53% ETF
14712 MDLZ Mondelez International, Inc. $71.09 6,798,526 2.22% Consumer Defensive
14589 BLK BlackRock, Inc. $744.73 668,838 2.65% Financial Services
14459 DUK Duke Energy Corporation $94.39 3,486,612 4.4% Utilities
14369 VEA Vanguard Developed Markets Index Fund $46.29 11,427,520 3.02% ETF
14245 EMR Emerson Electric Co. $89.55 3,103,163 2.35% Industrials
14171 AMAT Applied Materials, Inc. $147.72 5,765,644 0.81% Technology
13983 EFA iShares MSCI EAFE ETF $73.14 16,437,866 2.18% ETF
13785 TJX The TJX Companies, Inc. $89.13 5,267,680 1.47% Consumer Cyclical
13779 AMT American Tower Corporation $206.45 2,283,257 3.02% Real Estate
13715 MS Morgan Stanley $82.28 8,638,458 4.1% Financial Services
13665 WM Waste Management, Inc. $172.50 1,541,863 1.63% Industrials
13643 GILD Gilead Sciences, Inc. $79.02 5,795,558 3.89% Healthcare
13641 C Citigroup Inc. $48.89 17,885,915 4.51% Financial Services
13634 SO The Southern Company $71.50 4,473,498 3.92% Utilities
13625 VIG Vanguard Dividend Appreciation Index Fund $165.45 1,388,696 1.92% ETF
13625 USB U.S. Bancorp $40.43 11,696,395 5.02% Financial Services
13585 F Ford Motor Company $11.01 52,934,653 12.18% Consumer Cyclical