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
1 122,588 GOOG Alphabet Inc. $310.56 23,592,100 0.2561% Technology
2 76,429 MSFT Microsoft Corporation $478.54 23,454,300 0.6910% Technology
3 75,541 BRK-B Berkshire Hathaway Inc. $499.44 4,651,630 Financial Services
4 73,494 AAPL Apple Inc. $278.34 49,115,100 0.3700% Technology
5 70,381 AMZN Amazon.com, Inc. $226.19 48,143,100 Consumer Cyclical
6 61,453 JPM JPMorgan Chase & Co. $318.58 9,804,320 1.7727% Financial Services
7 60,075 NVDA NVIDIA Corporation $175.08 191,055,000 0.0227% Technology
8 57,566 JNJ Johnson & Johnson $211.61 8,889,640 2.4896% Healthcare
9 56,608 META Meta Platforms, Inc. $644.27 17,692,500 0.3202% Technology
10 55,831 XOM Exxon Mobil Corporation $118.71 14,841,500 3.4507% Energy
11 55,744 V Visa Inc. $347.85 6,334,130 0.7291% Financial Services
12 54,011 SPY SPDR S&P 500 ETF Trust $681.74 79,484,200 1.0619% Financial Services
13 53,526 PG The Procter & Gamble Company $142.84 8,786,110 2.8179% Consumer Defensive
14 53,342 HD The Home Depot, Inc. $359.65 3,904,570 2.5643% Consumer Cyclical
15 51,095 CVX Chevron Corporation $149.98 8,777,290 4.5152% Energy
16 50,057 ABBV AbbVie Inc. $223.44 5,959,920 2.8810% Healthcare
17 49,789 COST Costco Wholesale Corporation $884.49 2,642,330 0.5540% Consumer Defensive
18 49,136 MRK Merck & Co., Inc. $100.31 13,452,400 3.0907% Healthcare
19 48,474 UNH UnitedHealth Group Incorporated $341.74 8,454,950 2.6128% Healthcare
20 48,452 PEP PepsiCo, Inc. $150.64 7,412,480 3.7347% Consumer Defensive
21 47,981 WMT Walmart Inc. $116.65 21,160,900 0.8257% Consumer Defensive
22 47,690 LLY Eli Lilly and Company $1,028.09 3,838,140 0.5595% Healthcare
23 46,512 CSCO Cisco Systems, Inc. $77.80 20,461,600 2.1166% Technology
24 46,267 TSLA Tesla, Inc. $459.02 86,309,600 Consumer Cyclical
25 46,024 MCD McDonald's Corporation $316.72 3,679,810 2.2705% Consumer Cyclical
26 45,620 DIS The Walt Disney Company $111.54 10,682,800 0.9576% Communication Services
27 44,969 KO The Coca-Cola Company $70.54 17,407,200 2.7557% Consumer Defensive
28 44,891 MA Mastercard Incorporated $571.93 2,792,820 0.5522% Financial Services
29 44,715 PFE Pfizer Inc. $25.85 68,099,200 6.6731% Healthcare
30 44,239 BAC Bank of America Corporation $55.15 37,686,900 1.9745% Financial Services
31 43,549 AVGO Broadcom Inc. $359.90 23,078,200 0.5851% Technology
32 43,225 VZ Verizon Communications Inc. $40.90 27,386,100 6.6225% Communication Services
33 42,872 ABT Abbott Laboratories $125.48 6,236,200 1.8309% Healthcare
34 41,908 QQQ Invesco QQQ Trust, Series 1 $613.57 57,970,600 0.4582% Financial Services
35 41,592 ORCL Oracle Corporation $189.59 30,445,400 0.9432% Technology
36 40,936 IBM International Business Machines Corporation $309.26 5,198,710 2.1756% Technology
37 39,142 AMGN Amgen Inc. $317.77 2,749,550 2.7558% Healthcare
38 38,293 RTX RTX Corporation $178.67 4,695,150 1.5277% Industrials
39 38,264 ADBE Adobe Inc. $356.50 4,924,770 Technology
40 38,202 CAT Caterpillar Inc. $597.51 2,873,950 1.0143% Industrials
41 37,854 NEE NextEra Energy, Inc. $81.67 10,422,900 2.6260% Utilities
42 37,793 QCOM QUALCOMM Incorporated $178.21 10,023,200 2.0703% Technology
43 37,733 T AT&T Inc. $24.58 49,163,300 4.2660% Communication Services
44 37,639 UNP Union Pacific Corporation $239.94 3,677,010 2.3293% Industrials
45 37,456 CRM Salesforce, Inc. $262.12 10,302,900 0.7145% Technology
46 36,644 WFC Wells Fargo & Company $92.76 14,787,700 1.9799% Financial Services
47 36,568 NFLX Netflix, Inc. $95.20 42,255,900 Communication Services
48 36,465 TMO Thermo Fisher Scientific Inc. $571.99 2,040,510 0.2843% Healthcare
49 36,448 HON Honeywell International Inc. $193.64 4,621,000 2.2816% Industrials
50 36,263 LOW Lowe's Companies, Inc. $247.29 3,368,180 1.9383% Consumer Cyclical
51 36,044 BMY Bristol-Myers Squibb Company $52.41 16,509,100 5.0407% Healthcare
52 35,981 INTC Intel Corporation $37.82 116,218,000 Technology
53 35,876 LMT Lockheed Martin Corporation $480.16 1,343,830 2.8830% Industrials
54 34,669 SBUX Starbucks Corporation $85.35 9,838,330 2.8148% Consumer Cyclical
55 34,470 CMCSA Comcast Corporation $27.23 31,266,000 4.8707% Communication Services
56 33,826 AXP American Express Company $382.55 2,594,110 0.8651% Financial Services
57 33,660 NKE NIKE, Inc. $67.49 15,153,500 2.4756% Consumer Cyclical
58 33,564 PM Philip Morris International Inc. $153.65 6,588,550 3.5061% Consumer Defensive
59 33,011 ACN Accenture plc $271.71 4,631,130 2.4277% Technology
60 32,942 COP ConocoPhillips $95.55 7,281,730 3.5855% Energy
61 32,892 TXN Texas Instruments Incorporated $179.45 7,810,100 3.2709% Technology
62 32,678 UPS United Parcel Service, Inc. $100.91 7,479,890 6.8483% Industrials
63 32,405 AMD Advanced Micro Devices, Inc. $210.80 56,939,200 Technology
64 32,338 DE Deere & Company $485.24 1,450,830 1.3951% Industrials
65 32,195 BA The Boeing Company $204.29 8,790,660 Industrials
66 32,147 ADP Automatic Data Processing, Inc. $266.12 2,113,650 2.4129% Industrials
67 31,996 DHR Danaher Corporation $226.71 4,210,770 0.5424% Healthcare
68 31,667 GLD SPDR Gold Shares $395.46 15,955,400 Financial Services
69 31,142 GS The Goldman Sachs Group, Inc. $887.88 2,114,280 1.5738% Financial Services
70 31,025 CVS CVS Health Corporation $79.45 7,606,060 3.3101% Healthcare
71 30,556 MMM 3M Company $168.90 3,015,880 1.6970% Industrials
72 30,552 MDT Medtronic plc $99.87 7,166,270 2.6773% Healthcare
73 30,539 GE GE Aerospace $299.93 4,252,900 0.4559% Industrials
74 29,646 AMAT Applied Materials, Inc. $259.11 8,359,270 0.7055% Technology
75 29,572 MO Altria Group, Inc. $58.75 8,405,000 6.9819% Consumer Defensive
76 29,559 TJX The TJX Companies, Inc. $156.06 5,183,620 1.0866% Consumer Cyclical
77 29,540 DUK Duke Energy Corporation $115.29 3,401,390 3.4085% Utilities
78 28,744 PYPL PayPal Holdings, Inc. $61.66 16,613,700 0.2235% Financial Services
79 28,585 TGT Target Corporation $97.08 7,909,520 4.9876% Consumer Defensive
80 28,549 MDLZ Mondelez International, Inc. $54.04 8,901,670 3.3177% Consumer Defensive
81 28,444 WM Waste Management, Inc. $215.61 1,927,800 1.4802% Industrials
82 28,356 SYK Stryker Corporation $353.89 1,621,350 0.9052% Healthcare
83 28,297 EMR Emerson Electric Co. $136.64 2,725,940 1.6026% Industrials
84 28,221 SO The Southern Company $84.44 6,831,310 3.2265% Utilities
85 28,124 TSM Taiwan Semiconductor Manufacturing Company Limited $291.93 13,073,000 1.2766% Technology
86 27,473 ETN Eaton Corporation plc $331.79 2,523,260 1.2025% Industrials
87 27,304 MS Morgan Stanley $178.43 5,742,530 2.2698% Financial Services
88 27,258 SCHW The Charles Schwab Corporation $96.63 8,894,660 1.1651% Financial Services
89 27,236 INTU Intuit Inc. $670.92 1,846,900 0.6813% Technology
90 27,044 PANW Palo Alto Networks, Inc. $191.67 5,524,310 Technology
91 26,938 BX Blackstone Inc. $151.12 4,153,960 3.2036% Financial Services
92 26,611 C Citigroup Inc. $111.77 12,828,000 2.2403% Financial Services
93 26,534 SPGI S&P Global Inc. $501.06 1,708,230 0.7698% Financial Services
94 26,374 GILD Gilead Sciences, Inc. $120.41 7,318,340 2.4952% Healthcare
95 26,305 CL Colgate-Palmolive Company $78.31 6,678,230 2.5625% Consumer Defensive
96 26,152 AMT American Tower Corporation $180.60 3,121,810 3.7072% Real Estate
97 26,100 NOW ServiceNow, Inc. $865.02 1,423,210 Technology
98 26,041 USB U.S. Bancorp $53.39 9,032,310 4.3273% Financial Services
99 25,769 ISRG Intuitive Surgical, Inc. $542.44 2,245,950 Healthcare
100 25,352 ZTS Zoetis Inc. $118.67 4,051,090 1.5591% Healthcare