Quarterly Top Stocks Bought by Hedge Funds as a Percentage of Market Cap - 2014Q2

  • 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, 2024-05-20.
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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 DNOW INC
DNOW
$36.21 $13.62 -62.39% $3.93B $3.5B 89.26% 89.26% 1,096,659 Energy
2 ARCBEST CORPORATION
ARCB
$43.51 $113.78 161.50% $1.07B $941.22M 87.81% 91.74% 343,695 Industrials
3 LANDS END INC
LE
$33.58 $14.03 -58.22% $1.07B $868.77M 80.93% 80.95% 114,403 Consumer Cyclical
4 SABRE CORPORATION
SABR
$20.05 $3.05 -84.79% $7.66B $5.16B 67.43% 67.43% 5,883,854 Consumer Cyclical
5 DORIAN LPG LTD
LPG
$22.99 $43.73 90.21% $933.27M $532.88M 57.10% 57.10% 731,688 Energy
6 RADIUS RECYCLING INC
RDUS
$26.07 $18.89 -27.54% $730.17M $355.16M 48.64% 137.02% 258,020 Healthcare
7 THERAVANCE BIOPHARMA INC
TBPH
$31.88 $9.29 -70.86% $1.76B $647.17M 36.71% 36.71% 399,116 Healthcare
8 PHIBRO ANIMAL HEALTH CORPORATI
PAHC
$21.95 $18.40 -16.17% $889.06M $319.19M 35.90% 35.90% 151,085 Healthcare
9 ALLISON TRANSMISSION HLDGS INC
ALSN
$31.10 $75.14 141.61% $2.83B $855.57M 30.23% 187.98% 690,709 Consumer Cyclical
10 ESSEX PROPERTY TRUST INC
ESS
$184.91 $266.29 44.01% $11.88B $3.51B 29.52% 96.36% 377,211 Real Estate
11 ASPEN AEROGELS, INC
ASPN
$11.05 $26.69 141.54% $841.58M $214.17M 25.45% 25.45% 1,137,017 Industrials
12 HERITAGE FINL CORP
HFWA
$16.09 $19.08 18.58% $567.31M $143.67M 25.33% 56.50% 173,035 Financial Services
13 A10 NETWORKS INC
ATEN
$13.30 $16.18 21.65% $1B $254.26M 25.30% 28.38% 715,761 Technology
14 REPOSITRAK INC
TRAK
$10.89 $17.17 57.67% $825.62M $207.71M 25.16% 302.18% 78,387 Technology
15 TRUECAR INC
TRUE
$14.78 $3.01 -79.63% $1.35B $328.94M 24.28% 24.28% 199,387 Communication Services
16 COCA-COLA CONSOLIDATED, INC. C
COKE
$73.66 $937.00 1,172.00% $691.85M $137.98M 19.94% 47.77% 48,108 Consumer Defensive
17 GEO GROUP INC
GEO
$23.82 $13.42 -43.66% $4.87B $917.23M 18.83% 18.83% 2,606,306 Industrials
18 TRINET GROUP INC
TNET
$24.07 $103.92 331.74% $1.37B $250.7M 18.27% 89.69% 242,696 Industrials
19 FIVE9 INC
FIVN
$7.20 $53.07 637.08% $531.85M $94.05M 17.68% 17.68% 1,585,050 Technology
20 IRIDIUM COMM INC
IRDM
$8.46 $31.48 272.11% $1.08B $188.91M 17.55% 53.96% 1,234,322 Communication Services
21 POST HLDGS INC
POST
$33.94 $106.22 212.96% $3.41B $595.16M 17.45% 78.72% 469,154 Consumer Defensive
22 DESCARTES SYSTEMS GP INC.
DSGX
$14.34 $97.99 583.34% $1.24B $216.19M 17.37% 69.49% 182,390 Technology
23 RETAIL OPPORTUNITY INVESTMENTS
ROIC
$15.73 $12.75 -18.95% $2.09B $308.34M 14.75% 62.11% 1,056,598 Real Estate
24 ENSTAR GROUP LIMITED
ESGR
$150.73 $310.00 105.67% $2.38B $346.2M 14.53% 67.21% 48,298 Financial Services
25 CAESARSTONE LTD
CSTE
$49.08 $6.38 -87.00% $1.7B $240.42M 14.18% 55.83% 100,735 Industrials
26 CHILDRENS PL INC
PLCE
$49.63 $12.18 -75.46% $647.23M $91.03M 14.06% 196.36% 995,045 Consumer Cyclical
27 WEYERHAEUSER COMPANY
WY
$33.09 $31.17 -5.80% $24.23B $3.17B 13.07% 78.93% 3,378,232 Real Estate
28 TRI POINTE HOMES INC
TPH
$15.72 $39.98 154.33% $1.57B $197.4M 12.60% 34.71% 1,197,125 Consumer Cyclical
29 MAG SILVER CORP
MAG
$9.46 $14.06 48.64% $2.45B $307.81M 12.56% 32.53% 966,972 Basic Materials
30 PAYLOCITY HOLDING CORP
PCTY
$21.63 $172.97 699.69% $1.22B $152.02M 12.42% 16.12% 451,009 Technology
31 MASONITE INTERNATIONAL CORPORA
DOOR
$56.26 $132.84 136.12% $1.26B $153.74M 12.23% 138.87% 665,418 Industrials
32 2U INC
TWOU
$16.81 $0.34 -97.98% $1.41B $172.81M 12.22% 19.06% 2,249,951 Consumer Defensive
33 AUTOHOME INC ADR REPST 4
ATHM
$34.43 $29.28 -14.96% $4.23B $514.34M 12.16% 17.96% 413,222 Communication Services
34 DINE BRANDS GLOBAL, INC.
DIN
$79.49 $43.56 -45.20% $1.22B $147.04M 12.01% 127.33% 313,659 Consumer Cyclical
35 AMERICAN AIRLINES GROUP INC CO
AAL
$42.96 $14.73 -65.71% $30.92B $3.61B 11.67% 69.40% 30,343,893 Industrials
36 RAYONIER ADVANCED MATLS INC CO
RYAM
$38.75 $4.92 -87.30% $2.54B $293.73M 11.56% 11.56% 517,987 Basic Materials
37 RADIAN GROUP INC
RDN
$14.81 $31.58 113.23% $2.37B $272.67M 11.50% 119.08% 1,257,719 Financial Services
38 MOELIS & CO
MC
$67.22 $56.66 -15.71% $2.36B $270.87M 11.46% 11.46% 638,043 Financial Services
39 VERINT SYSTEMS INC
VRNT
$24.99 $32.09 28.43% $3.15B $359.6M 11.40% 91.30% 526,146 Technology
40 GENERAC HOLDINGS INC DE
GNRC
$48.74 $144.77 197.03% $3.02B $344.06M 11.37% 119.45% 1,088,848 Industrials
41 DYNAGAS LNG PARTNERS LP COM UN
DLNG
$24.25 $3.99 -83.55% $892.45M $101.11M 11.33% 43.37% 51,109 Energy
42 UNITED PARKS & RESORTS INC.COM
PRKS
$28.33 $52.15 84.08% $1.83B $204.39M 11.19% 138.74% 916,166 Consumer Cyclical
43 CARETRUST REIT INC
CTRE
$19.80 $25.08 26.67% $2.81B $314.23M 11.17% 11.17% 1,330,459 Real Estate
44 GLOBALSTAR, INC
GSAT
$4.25 $1.20 -71.76% $8.08B $878.84M 10.88% 14.25% 3,743,904 Communication Services
45 CHIMERIX INC
CMRX
$21.94 $0.99 -95.50% $1.97B $211.16M 10.74% 28.26% 366,766 Healthcare
46 SUNSTONE HOTEL INVESTORS INC
SHO
$14.93 $10.41 -30.27% $3.07B $320.06M 10.41% 101.54% 1,899,366 Real Estate
47 ACADIA HEALTHCARE CO INC
ACHC
$45.50 $66.35 45.82% $4.22B $439.31M 10.41% 54.22% 765,219 Healthcare
48 PAYCOM SOFTWARE INC
PAYC
$14.59 $182.28 1,149.08% $848.01M $87.05M 10.27% 10.27% 796,024 Technology
49 GALLAGHER ARTHUR J.& CO
AJG
$46.60 $257.67 452.94% $10.22B $1.03B 10.03% 57.58% 805,087 Financial Services
50 CHEGG INC
CHGG
$7.04 $4.38 -37.78% $905.13M $89.39M 9.88% 26.22% 2,895,487 Consumer Defensive
51 YPF SOCIEDAD ANONIMA ADS
YPF
$32.68 $23.44 -28.27% $12.85B $1.25B 9.69% 32.64% 2,572,988 Energy
52 ARGAN INC
AGX
$37.29 $65.94 76.83% $505.21M $48.71M 9.64% 79.88% 83,404 Industrials
53 YELP INC
YELP
$76.68 $37.25 -51.42% $5.64B $539.1M 9.55% 79.79% 797,559 Communication Services
54 ST.JOE COMPANY
JOE
$25.43 $58.22 128.94% $1.49B $139.19M 9.37% 169.75% 197,691 Real Estate
55 GOLAR LNG LTD
GLNG
$60.10 $26.90 -55.24% $6.41B $581.19M 9.07% 42.64% 1,171,204 Energy
56 TERRENO REALTY CORPORATION COM
TRNO
$19.33 $58.10 200.57% $1.87B $167.21M 8.95% 33.65% 801,170 Real Estate
57 Q2 HLDGS INC
QTWO
$14.26 $63.31 343.97% $857.01M $76.14M 8.88% 14.17% 701,919 Technology
58 RLJ LODGING TR COM
RLJ
$28.89 $10.37 -64.11% $4.52B $394.49M 8.72% 89.29% 1,230,529 Real Estate
59 AMERICAN EAGLE OUTFITTER INC C
AEO
$11.22 $23.53 109.71% $2.21B $188.67M 8.53% 83.40% 4,502,433 Consumer Cyclical
60 AMBARELLA, INC
AMBA
$31.18 $49.01 57.18% $1.28B $108.7M 8.51% 29.04% 581,451 Technology
61 STRATASYS LTD
SSYS
$113.63 $9.78 -91.39% $7.93B $669.7M 8.45% 51.06% 402,627 Technology
62 JD COM INC SPON ADS REPSTG COM
JD
$28.51 $35.27 23.71% $45.2B $3.69B 8.16% 8.16% 13,775,550 Consumer Cyclical
63 CDW COPR
CDW
$31.88 $223.64 601.51% $4.35B $353.89M 8.14% 80.79% 673,300 Technology
64 EXACT SCIENCES CORPORATION
EXAS
$17.03 $50.38 195.83% $3.14B $255.09M 8.12% 43.19% 2,783,296 Healthcare
65 TRINITY INDUSTRIES
TRN
$31.48 $31.04 -1.38% $3.65B $295.17M 8.10% 157.32% 549,179 Industrials
66 EASTMAN KODAK COMPANY N
KODK
$24.47 $4.98 -79.65% $2.21B $178.53M 8.06% 31.49% 1,395,433 Industrials
67 VEEVA SYSTEMS INC
VEEV
$25.45 $210.27 726.21% $4.16B $318.73M 7.66% 29.61% 906,950 Healthcare
68 ZIFF DAVIS, INC.
ZD
$44.23 $56.92 28.70% $2.36B $179.99M 7.62% 118.64% 361,167 Communication Services
69 SHUTTERSTOCK INC
SSTK
$82.98 $41.94 -49.46% $3.01B $227.99M 7.58% 59.58% 506,501 Communication Services
70 SAFETY INS GROUP INC
SAFT
$51.38 $80.26 56.21% $762.31M $57.33M 7.52% 77.92% 50,127 Financial Services
71 VOYA FINL INC
VOYA
$36.34 $74.80 105.83% $3.95B $294.15M 7.44% 128.17% 950,027 Financial Services
72 IROBOT CORPORATION
IRBT
$40.95 $10.84 -73.53% $1.18B $83.5M 7.09% 92.29% 2,326,630 Consumer Cyclical
73 SOUTHSTATE CORP
SSB
$61.00 $80.85 32.54% $4.67B $326.89M 7.01% 7.01% 391,633 Financial Services
74 KNOWLES CORP
KN
$30.74 $17.42 -43.33% $2.82B $196.87M 6.99% 88.96% 522,619 Technology
75 ROBERT HALF INC
RHI
$47.74 $70.87 48.45% $5.06B $340.42M 6.72% 121.15% 1,107,651 Industrials
76 SUPERNUS PHARMACEUTICALS INC C
SUPN
$10.95 $29.10 165.75% $607.8M $40.66M 6.69% 66.88% 452,750 Healthcare
77 GRAPHIC PACKING HOLDING COMPAN
GPK
$11.70 $28.13 140.43% $3.62B $240.47M 6.65% 101.32% 2,741,035 Consumer Cyclical
78 DORMAN PRODUCTS INC
DORM
$49.32 $91.33 85.18% $1.56B $103.18M 6.63% 95.48% 123,266 Consumer Cyclical
79 SPROUTS FMRS MKT INC
SFM
$32.72 $78.57 140.13% $3.38B $224.04M 6.62% 110.53% 1,467,030 Consumer Defensive
80 AMC NETWORKS INC CLASS A COM
AMCX
$61.49 $15.61 -74.61% $2.71B $173.67M 6.41% 138.01% 728,904 Communication Services
81 MERITAGE HOMES CORPORATION
MTH
$42.21 $183.00 333.55% $1.56B $100.19M 6.40% 103.85% 441,614 Consumer Cyclical
82 HAWAIIAN ELECTRIC INDUSTRIES
HE
$25.32 $11.50 -54.58% $2.79B $177.8M 6.37% 47.88% 2,521,370 Utilities
83 BLACKBAUD INC
BLKB
$35.74 $79.30 121.88% $1.92B $122.23M 6.37% 92.17% 297,333 Technology
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