Quarterly Top Stocks Bought by Hedge Funds as a Percentage of Market Cap - 2014Q1

  • 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.
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# 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 KNOWLES CORP
KN
$31.57 $17.08 -45.90% $2.89B $2.37B 81.97% 81.97% 547,734 Technology
2 ANTERO RESOURCES CORPORATION C
AR
$62.60 $34.02 -45.65% $19.51B $13.99B 71.75% 85.94% 5,055,780 Energy
3 TRINET GROUP INC
TNET
$21.31 $103.23 384.42% $1.21B $867.49M 71.42% 71.42% 260,068 Industrials
4 ONE GAS INC
OGS
$35.93 $64.09 78.38% $2.03B $1.28B 63.06% 63.06% 418,098 Utilities
5 PERRIGO COMPANY PLC
PRGO
$154.66 $31.11 -79.88% $20.96B $8.63B 41.18% 74.94% 2,010,024 Healthcare
6 CRESCENT POINT ENERGY CORPORAT
CPG
$36.51 $8.73 -76.09% $22.64B $5.96B 26.33% 26.40% 6,005,842 Energy
7 AMERICAN AIRLINES GROUP INC CO
AAL
$36.60 $14.42 -60.60% $26.34B $6.12B 23.25% 57.73% 30,717,603 Industrials
8 VERIZON COMMUNICATIONS
VZ
$47.57 $39.48 -17.01% $200.51B $45.52B 22.70% 61.90% 18,073,406 Communication Services
9 DHT HOLDING, INC
DHT
$7.78 $12.06 55.02% $1.26B $285.64M 22.61% 30.62% 1,548,083 Energy
10 GLYCOMIMETICS INC
GLYC
$16.33 $0.30 -98.17% $1.05B $229.76M 21.83% 21.83% 1,304,770 Healthcare
11 VOYA FINL INC
VOYA
$36.27 $73.53 102.73% $3.95B $809.06M 20.50% 120.73% 1,002,231 Financial Services
12 LADDER CAPITAL CORP
LADR
$18.88 $11.11 -41.15% $2.41B $491.86M 20.37% 20.37% 598,172 Real Estate
13 ULTRAGENYX PHARMACEUTICAL INC
RARE
$48.89 $41.56 -14.99% $4.03B $818.08M 20.32% 20.13% 737,298 Healthcare
14 NOODLES & CO
NDLS
$39.47 $1.73 -95.62% $1.81B $331.82M 18.33% 59.01% 311,921 Consumer Cyclical
15 TRIPLEPOINT VENTURE GROWTH BDC
TPVG
$16.24 $9.15 -43.66% $610.94M $110.73M 18.12% 18.02% 333,442 Financial Services
16 CONNS INC
CONN
$38.85 $3.51 -90.97% $966.82M $175.16M 18.12% 125.09% 133,975 Consumer Cyclical
17 PBF ENERGY INC
PBF
$25.80 $50.26 94.81% $3.37B $605.63M 17.99% 70.24% 2,066,116 Energy
18 XPO INC
XPO
$10.16 $111.96 1,002.00% $3.47B $595.53M 17.16% 40.73% 1,401,903 Industrials
19 ENANTA PHARMACEUTICALS INC
ENTA
$39.99 $12.76 -68.09% $846.03M $144.84M 17.12% 39.87% 222,304 Healthcare
20 NEXSTAR MEDIA GROUP, INC
NXST
$37.52 $168.11 348.05% $1.34B $229.75M 17.09% 98.79% 355,754 Communication Services
21 LOUISIANA PACIFIC CORP
LPX
$16.87 $88.14 422.47% $1.22B $197.72M 16.22% 196.13% 998,926 Industrials
22 CARA THERAPEUTICS INC
CARA
$18.61 $0.73 -96.06% $1.02B $160.44M 15.77% 15.77% 605,077 Healthcare
23 AVIS BUDGET GROUP, INC.
CAR
$48.70 $120.44 147.31% $1.89B $295.51M 15.64% 315.69% 1,006,177 Industrials
24 IROBOT CORPORATION
IRBT
$41.05 $10.92 -73.40% $1.17B $170.57M 14.61% 86.14% 2,127,162 Consumer Cyclical
25 REPOSITRAK INC
TRAK
$9.07 $15.92 75.50% $895.72M $127.08M 14.19% 277.02% 81,940 Technology
26 NMI HLDGS INC
NMIH
$11.72 $33.42 185.15% $982.77M $138.44M 14.09% 56.28% 604,108 Financial Services
27 HERON THERAPEUTICS INC
HRTX
$13.91 $3.01 -78.36% $2.1B $289.19M 13.80% 13.80% 2,370,163 Healthcare
28 BOISE CASCADE CO DEL
BCC
$28.64 $133.21 365.12% $1.14B $156.9M 13.73% 94.69% 339,093 Basic Materials
29 ARDMORE SHIPPING CORP COM MARS
ASC
$13.30 $20.34 52.93% $556.25M $74.88M 13.46% 31.77% 547,767 Industrials
30 WISDOMTREE, INC.
WT
$13.12 $9.38 -28.51% $1.99B $267.1M 13.41% 74.33% 1,230,372 Financial Services
31 ARTISAN PARTNERS ASSET MGMT IN
APAM
$64.25 $43.83 -31.78% $4.49B $574.39M 12.79% 39.22% 438,322 Financial Services
32 WABASH NATIONAL CORP
WNC
$13.76 $23.62 71.66% $660.88M $84.38M 12.77% 149.84% 575,885 Industrials
33 ATRICURE, INC.
ATRC
$18.81 $20.69 10.00% $909.92M $114.43M 12.58% 45.91% 804,444 Healthcare
34 FTI CONSULTING INC
FCN
$33.34 $219.24 557.59% $1.19B $147.71M 12.41% 123.23% 216,003 Industrials
35 POST HLDGS INC
POST
$36.75 $105.78 187.87% $3.69B $447.85M 12.13% 61.28% 489,180 Consumer Defensive
36 COMMVAULT SYSTEMS, INC
CVLT
$64.95 $109.18 68.10% $2.93B $349.63M 11.94% 115.39% 305,263 Technology
37 SPROUTS FMRS MKT INC
SFM
$36.03 $74.66 107.22% $3.73B $443.17M 11.90% 103.91% 1,493,273 Consumer Defensive
38 ANI PHARMACEUTICALS INC
ANIP
$31.35 $65.62 109.31% $657.73M $77.72M 11.82% 17.98% 149,529 Healthcare
39 ALLISON TRANSMISSION HLDGS INC
ALSN
$29.94 $75.82 153.24% $2.72B $315.35M 11.57% 157.75% 756,857 Consumer Cyclical
40 VEEVA SYSTEMS INC
VEEV
$26.70 $201.77 655.69% $4.37B $501.49M 11.49% 21.95% 937,518 Healthcare
41 IRONWOOD PHARMACEUTICALS INC C
IRWD
$10.32 $8.12 -21.30% $1.96B $223.56M 11.42% 82.95% 4,541,557 Healthcare
42 INTRA-CELLULAR THERAPIES INC.
ITCI
$18.18 $67.00 268.54% $1.76B $200.67M 11.40% 11.40% 977,113 Healthcare
43 REVANCE THERAPEUTICS INC
RVNC
$31.50 $4.27 -86.44% $3.28B $372.74M 11.35% 11.35% 1,853,196 Healthcare
44 SELECT MEDICAL HOLDINGS CORPOR
SEM
$12.45 $32.84 163.77% $1.6B $180.62M 11.30% 65.16% 552,732 Healthcare
45 NEUROCRINE BIOSCIENCES INC
NBIX
$16.10 $139.02 763.48% $1.63B $182.15M 11.20% 69.08% 880,683 Healthcare
46 MERITAGE HOMES CORPORATION
MTH
$41.88 $180.72 331.52% $1.55B $170.77M 11.00% 97.45% 440,544 Consumer Cyclical
47 APPLIED OPTOELECTRONICS INC CO
AAOI
$24.67 $10.83 -56.10% $947.25M $98.84M 10.43% 18.69% 2,631,970 Technology
48 CHUYS HLDGS INC
CHUY
$43.14 $29.16 -32.41% $773.69M $80.27M 10.38% 101.17% 126,257 Consumer Cyclical
49 DANA INCORPORATED
DAN
$23.27 $13.61 -41.51% $3.37B $347.15M 10.29% 113.74% 1,478,352 Consumer Cyclical
50 DORMAN PRODUCTS INC
DORM
$59.06 $91.23 54.47% $1.86B $190.32M 10.22% 88.84% 123,408 Consumer Cyclical
51 GOGO INC
GOGO
$20.54 $9.77 -52.43% $2.74B $272.49M 9.95% 28.53% 1,005,349 Communication Services
52 PTC THERAPEUTICS INC
PTCT
$26.14 $31.14 19.13% $2B $196.82M 9.83% 29.96% 907,867 Healthcare
53 COMMUNITY HEALTH SYSTEMS,INC
CYH
$32.37 $3.39 -89.53% $5.36B $505.68M 9.44% 79.58% 2,175,195 Healthcare
54 GAMING & LEISURE PPTYS INC
GLPI
$36.46 $44.02 20.74% $9.9B $931.39M 9.41% 38.96% 1,418,565 Real Estate
55 CHILDRENS PL INC
PLCE
$49.81 $9.88 -80.17% $649.56M $59.81M 9.21% 182.30% 1,726,772 Consumer Cyclical
56 LOGITECH INTERNATIONAL S.A .
LOGI
$14.89 $84.39 466.72% $2.36B $213.8M 9.08% 36.56% 469,696 Technology
57 BOYD GAMING CORP
BYD
$13.20 $53.25 303.41% $1.34B $120.69M 9.02% 75.32% 936,449 Consumer Cyclical
58 ANIKA THERAPEUTICS INC
ANIK
$41.10 $28.47 -30.73% $609.45M $54.77M 8.99% 68.43% 80,083 Healthcare
59 AMC NETWORKS INC CLASS A COM
AMCX
$73.08 $13.28 -81.83% $3.21B $288.24M 8.97% 131.60% 694,155 Communication Services
60 PROTHENA CORP PLC SHS
PRTA
$38.31 $23.03 -39.88% $2.06B $180.76M 8.78% 38.88% 602,486 Healthcare
61 ENTRAVISION COMMUNICATNS
EVC
$6.70 $2.18 -67.46% $601.17M $51.93M 8.64% 57.35% 1,174,642 Communication Services
62 ULTRA CLEAN HOLDINGS INC
UCTT
$13.15 $43.79 233.01% $587.8M $50.46M 8.59% 52.21% 310,288 Technology
63 RINGCENTRAL INC
RNG
$18.10 $34.38 89.95% $1.72B $146.32M 8.52% 20.37% 1,143,218 Technology
64 8X8 INC-
EGHT
$10.81 $2.34 -78.35% $1.33B $109.95M 8.24% 49.69% 1,347,493 Technology
65 BRINKS CO
BCO
$28.55 $92.96 225.60% $1.34B $109.43M 8.17% 106.75% 220,326 Industrials
66 FIVE BELOW INC
FIVE
$42.48 $142.10 234.51% $2.36B $191.21M 8.09% 108.49% 926,832 Consumer Cyclical
67 CRITEO S A SPONSORED ADS
CRTO
$40.55 $37.30 -8.01% $2.44B $196.43M 8.04% 29.19% 271,568 Communication Services
68 KENNEDY-WILSON HOLDINGS, INC.
KW
$22.51 $8.95 -60.24% $3.13B $251.05M 8.02% 47.16% 1,433,406 Real Estate
69 JINKOSOLAR HOLDING CO., LTD AD
JKS
$27.95 $25.41 -9.09% $1.58B $122.8M 7.77% 18.65% 845,403 Energy
70 ARMSTRONG WORLD INDUSTRIES INC
AWI
$53.25 $116.28 118.37% $2.39B $182.49M 7.65% 106.97% 396,640 Industrials
71 TERADYNE INC
TER
$19.89 $120.43 505.48% $3.27B $249.48M 7.63% 132.38% 2,007,973 Technology
72 HAWAIIAN HOLDINGS, INC.
HA
$13.96 $13.14 -5.87% $723.79M $55.21M 7.63% 90.68% 703,998 Industrials
73 APPLIED MATERIALS INC
AMAT
$20.42 $207.36 915.70% $17.25B $1.31B 7.58% 131.27% 5,811,073 Technology
74 UNISYS CORP
UIS
$30.46 $4.95 -83.75% $2.1B $156.32M 7.44% 67.33% 703,813 Technology
75 SYNAPTICS INCORPORATED
SYNA
$60.02 $91.00 51.62% $2.41B $177.55M 7.36% 95.35% 264,237 Technology
76 NGL ENERGY PARTNERS LP
NGL
$37.53 $5.93 -84.20% $4.97B $360.34M 7.25% 28.90% 354,668 Energy
77 NEKTAR THERAPEUTICS
NKTR
$12.12 $1.64 -86.47% $2.3B $163.87M 7.12% 60.97% 2,585,670 Healthcare
78 TERADATA CORORATION DEL
TDC
$49.19 $32.70 -33.52% $5.04B $355.1M 7.05% 149.87% 1,309,280 Technology
79 TEXAS CAPITAL BANCSHARES INC
TCBI
$64.94 $60.60 -6.68% $3.16B $222.03M 7.03% 95.02% 433,978 Financial Services
80 ESSEX PROPERTY TRUST INC
ESS
$170.05 $254.50 49.66% $10.93B $766.17M 7.01% 66.84% 389,462 Real Estate
81 SPIRIT AEROSYSTEMS HLDGS INC C
SPR
$28.19 $30.90 9.61% $3.28B $229.57M 7.01% 100.37% 3,194,421 Industrials
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