Quarterly Top Stocks Sold by Hedge Funds in Dollar Amount - 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 VODAFONE GROUP PLC NEWSPONSORE
VOD
$36.81 $8.46 -77.02% $102.24B -$11.05B -10.81% 11.45% 8,438,981 Communication Services
2 APPLE INC
AAPL
$19.17 $182.74 853.30% $8.49T -$6.69B -0.08% 3.33% 64,406,427 Technology
3 INTL BUSINESS MACHINES CORP
IBM
$192.49 $169.90 -11.74% $177.49B -$4.83B -2.72% 63.98% 4,577,290 Technology
4 COCA-COLA CO
KO
$38.66 $62.85 62.57% $167.75B -$2.92B -1.74% 60.04% 13,916,788 Consumer Defensive
5 DOVER CORP
DOV
$66.03 $183.75 178.27% $11.49B -$2.6B -22.59% 103.72% 994,926 Industrials
6 BOEING CO
BA
$125.49 $180.35 43.72% $77.04B -$2.38B -3.09% 88.00% 7,849,770 Industrials
7 EBAY INC
EBAY
$23.25 $49.69 113.73% $29.44B -$2.1B -7.12% 191.47% 6,910,973 Consumer Cyclical
8 GENERAL MOTORS COMPANY
GM
$34.42 $45.05 30.88% $47.12B -$1.82B -3.86% 82.09% 15,802,547 Consumer Cyclical
9 MASTERCARD INCORPORATED C
MA
$74.70 $454.77 508.80% $70.67B -$1.76B -2.49% 91.74% 2,436,455 Financial Services
10 ILLINOIS TOOL WORKS
ITW
$81.33 $247.40 204.19% $24.69B -$1.74B -7.06% 104.31% 1,290,436 Industrials
11 KELLANOVA
K
$58.88 $62.33 5.85% $21.63B -$1.68B -7.75% 76.22% 3,407,145 Consumer Defensive
12 CHEVRON CORPORATION
CVX
$118.91 $162.54 36.69% $223.55B -$1.66B -0.74% 63.88% 8,150,126 Energy
13 FEDEX CORPORATION
FDX
$132.56 $258.01 94.64% $33.94B -$1.62B -4.78% 91.03% 1,792,047 Industrials
14 LYONDELLBASELL IND NV
LYB
$88.94 $102.18 14.89% $28.99B -$1.51B -5.20% 116.48% 2,018,906 Basic Materials
15 EXXON MOBIL CORPORATION
XOM
$97.68 $116.15 18.91% $395.8B -$1.5B -0.38% 48.50% 18,658,418 Energy
16 PHILLIPS 66
PSX
$77.06 $146.94 90.68% $34.92B -$1.39B -3.98% 87.92% 2,781,445 Energy
17 CISCO SYSTEMS
CSCO
$22.41 $48.00 114.14% $92.01B -$1.28B -1.39% 91.89% 19,341,688 Technology
18 ONEOK INC
OKE
$59.25 $79.14 33.57% $34.55B -$1.26B -3.65% 25.75% 2,950,173 Energy
19 ABBOTT LABS
ABT
$38.51 $104.94 172.50% $67.35B -$1.2B -1.78% 58.49% 5,597,521 Healthcare
20 TESLA INC
TSLA
$13.90 $174.72 1,157.28% $726.45B -$1.14B -0.16% 1.95% 100,985,154 Consumer Cyclical
21 HOME DEPOT INC
HD
$79.13 $338.83 328.19% $79.29B -$982.13M -1.24% 99.30% 3,480,921 Consumer Cyclical
22 MARATHON PETE CORP
MPC
$43.52 $180.93 315.74% $35.6B -$959.36M -2.69% 57.50% 2,639,960 Energy
23 BP PLC ADS
BP
$48.10 $37.53 -21.98% $142.3B -$954.57M -0.67% 12.78% 9,358,660 Energy
24 LOWES COMPANIES INC
LOW
$48.90 $232.07 374.58% $28.56B -$942.85M -3.30% 132.18% 2,373,332 Consumer Cyclical
25 HESS CORPORATION
HES
$82.88 $157.66 90.23% $25.54B -$917.33M -3.59% 77.45% 2,699,436 Energy
26 AMERICAN INTL GROUP INC
AIG
$50.01 $79.89 59.75% $36.27B -$916.79M -2.53% 166.81% 4,239,936 Financial Services
27 STARWOOD PROPERTY TRUST, INC
STWD
$23.59 $20.08 -14.88% $7.39B -$900M -12.18% 56.62% 2,110,793 Real Estate
28 MONDELEZ INTL INC
MDLZ
$34.55 $70.43 103.85% $47.33B -$896.97M -1.90% 94.64% 8,411,259 Consumer Defensive
29 AT&T INC
T
$26.47 $17.11 -35.36% $254.54B -$883.73M -0.35% 37.69% 36,440,278 Communication Services
30 ASTRAZENECA PLC
AZN
$32.44 $76.97 137.27% $202.69B -$852.42M -0.42% 3.71% 6,202,893 Healthcare
31 SIMON PROPERTIES GROUP INC
SPG
$154.28 $147.88 -4.15% $53.6B -$850.41M -1.59% 93.13% 1,451,677 Real Estate
32 GOLDMAN SACHS GROUP INC
GS
$163.85 $446.95 172.78% $56.66B -$832.37M -1.47% 89.30% 2,358,872 Financial Services
33 DOLLAR GEN CORP
DG
$55.48 $137.52 147.87% $12.2B -$805.92M -6.60% 128.73% 2,347,981 Consumer Defensive
34 CUMMINS INC
CMI
$148.99 $289.06 94.01% $21.26B -$800.79M -3.77% 105.00% 3,312,562 Industrials
35 REGENERON PHARMACEUTICALS INC
REGN
$300.28 $955.76 218.29% $34.14B -$771.16M -2.26% 64.55% 466,714 Healthcare
36 CITIGROUP
C
$47.60 $62.75 31.83% $93.1B -$769.69M -0.83% 106.93% 15,059,452 Financial Services
37 NETAPP INC
NTAP
$36.90 $109.48 196.69% $8.12B -$734.69M -9.05% 128.27% 1,967,221 Technology
38 ENERGY TRANSFER LP
ET
$23.38 $16.25 -30.48% $157.44B -$721.67M -0.46% 7.76% 11,259,960 Energy
39 AMERICAN EXPRESS COMPANY
AXP
$90.03 $236.24 162.40% $66.26B -$720.5M -1.09% 119.19% 3,016,840 Financial Services
40 AMAZON COM INC
AMZN
$16.82 $188.00 1,017.81% $3.53T -$719.65M -0.02% 2.93% 41,641,032 Consumer Cyclical
41 BREAD FINANCIAL HOLDINGS INC.
BFH
$217.44 $39.98 -81.61% $13.62B -$701.04M -5.15% 115.03% 792,931 Financial Services
42 3M COMPANY
MMM
$113.43 $96.35 -15.06% $75.14B -$699.84M -0.93% 81.43% 6,057,420 Industrials
43 WALT DISNEY CO-DISNEY
DIS
$80.07 $105.44 31.69% $146.87B -$698.12M -0.48% 59.62% 11,037,708 Communication Services
44 CORNING INCORPORATED
GLW
$20.82 $33.93 62.97% $17.88B -$697.03M -3.90% 114.67% 4,639,537 Technology
45 PHILIP MORRIS INTL
PM
$81.87 $98.25 20.01% $127.27B -$677.53M -0.53% 69.67% 6,016,378 Consumer Defensive
46 AUTOZONE INC
AZO
$537.10 $2,962.52 451.58% $10.26B -$663.18M -6.46% 158.01% 147,444 Consumer Cyclical
47 ESTEE LAUDER CO'S INC
EL
$66.88 $129.53 93.68% $24.14B -$643.44M -2.67% 57.23% 2,521,891 Consumer Defensive
48 GILEAD SCIENCES INC
GILD
$70.86 $64.92 -8.38% $89.14B -$627.06M -0.70% 111.96% 7,291,442 Healthcare
49 KINDER MORGAN INC
KMI
$32.49 $18.81 -42.11% $72.58B -$587.65M -0.81% 26.02% 13,447,047 Energy
50 EQUITY RESIDENTIAL
EQR
$57.99 $66.10 13.99% $22.67B -$577.53M -2.55% 91.44% 1,971,037 Real Estate
51 UNITED PARCEL SERVICE,INC.
UPS
$97.38 $147.77 51.75% $83.75B -$572.71M -0.68% 57.51% 4,017,191 Industrials
52 CF INDUSTRIES HOLDINGS, INC.
CF
$52.13 $73.25 40.52% $50.51B -$571.36M -1.13% 24.78% 2,729,883 Basic Materials
53 VORNADO REALTY TRUST
VNO
$72.11 $23.71 -67.12% $18.91B -$565.32M -2.99% 89.21% 2,118,908 Real Estate
54 TYSON FOODS INC
TSN
$44.01 $59.13 34.36% $15.37B -$564.67M -3.67% 71.44% 2,949,519 Consumer Defensive
55 NORDSON CORP
NDSN
$70.49 $271.00 284.45% $4.06B -$561.86M -13.83% 73.57% 211,159 Industrials
56 MURPHY OIL CORPORATION
MUR
$62.86 $44.60 -29.05% $9.85B -$559.27M -5.68% 96.88% 1,606,832 Energy
57 FIFTH THIRD BANCORP
FITB
$22.95 $38.48 67.64% $15.78B -$558.02M -3.54% 96.10% 5,046,824 Financial Services
58 LOCKHEED MARTIN CORP
LMT
$163.24 $466.16 185.57% $41.01B -$557.63M -1.36% 108.38% 1,131,475 Industrials
59 TJX COMPANIES INC
TJX
$30.32 $98.50 224.81% $70.29B -$548.74M -0.78% 54.51% 5,343,654 Consumer Cyclical
60 UNDER ARMOUR INC
UA
$113.83 $6.55 -94.25% $52.91B -$543.82M -1.03% 15.56% 3,207,623 Consumer Cyclical
61 AKAMAI TECHNOLOGIES INC
AKAM
$58.21 $102.12 75.43% $9.05B -$541.02M -5.98% 98.89% 1,708,431 Technology
62 HYATT HOTELS CORPORATION
H
$53.81 $147.82 174.71% $5.8B -$535.62M -9.24% 37.96% 653,649 Consumer Cyclical
63 CHIPOLTE MEXICAN GRILL INC
CMG
$11.36 $3,183.25 27,919.16% $15.74B -$525.3M -3.34% 101.72% 239,198 Consumer Cyclical
64 EATON CORP PLC
ETN
$75.12 $330.40 339.83% $30.13B -$513.56M -1.70% 85.51% 2,183,329 Industrials
65 WYNN RESORTS LTD
WYNN
$222.15 $95.75 -56.90% $25.07B -$497.1M -1.98% 67.48% 1,636,245 Consumer Cyclical
66 PROCTER & GAMBLE
PG
$80.60 $165.07 104.80% $200.2B -$475.09M -0.24% 65.37% 6,286,532 Consumer Defensive
67 ILLUMINA INC.
ILMN
$148.66 $110.62 -25.59% $23.62B -$466.53M -1.97% 89.11% 1,656,852 Healthcare
68 AUTOHOME INC ADR REPST 4
ATHM
$38.41 $28.46 -25.90% $4.72B -$446.3M -9.46% 5.80% 399,198 Communication Services
69 AFLAC INC
AFL
$31.52 $84.83 169.13% $37.74B -$445.83M -1.18% 48.69% 2,306,985 Financial Services
70 V. F. CORPORATION
VFC
$58.27 $12.59 -78.39% $24.06B -$444.45M -1.85% 115.73% 9,245,095 Consumer Cyclical
71 YUM BRANDS, INC
YUM
$54.20 $136.96 152.70% $21.49B -$438.85M -2.04% 119.06% 2,129,122 Consumer Cyclical
72 WAL-MART INC
WMT
$25.48 $60.30 136.69% $619.69B -$433.65M -0.07% 11.89% 18,569,945 Consumer Defensive
73 NORTHROP GRUMMAN CP
NOC
$123.38 $471.61 282.24% $18.75B -$425.02M -2.27% 120.40% 969,442 Industrials
74 INTERNATIONAL PAPER CO
IP
$42.85 $39.28 -8.33% $16.02B -$417.96M -2.61% 106.56% 6,178,478 Consumer Cyclical
75 NIKE INC
NKE
$36.93 $93.59 153.43% $115.95B -$408.81M -0.35% 36.91% 9,336,855 Consumer Cyclical
76 BANK OF AMERICA CORP
BAC
$17.20 $37.71 119.24% $138.98B -$405.83M -0.29% 78.08% 39,399,949 Financial Services
77 UDR INC
UDR
$25.83 $38.27 48.16% $8.5B -$393.12M -4.62% 72.86% 2,796,965 Real Estate
78 DELTA AIR LINES INC
DAL
$34.65 $52.28 50.88% $22.36B -$387.82M -1.73% 112.73% 10,043,573 Industrials
79 KROGER CO
KR
$21.83 $55.38 153.75% $31.65B -$385.12M -1.22% 55.57% 5,126,736 Consumer Defensive
80 CENCORA, INC.
COR
$65.59 $224.11 241.68% $13.42B -$384.16M -2.86% 92.69% 1,241,218 Healthcare
81 PPG INDUSTRIES INC
PPG
$96.73 $133.43 37.94% $45.89B -$368.41M -0.80% 41.48% 1,758,124 Basic Materials
82 NOVARTIS AG ADS
NVS
$76.18 $99.60 30.74% $177.86B -$360.41M -0.20% 11.38% 1,608,406 Healthcare
83 LABORATORY CRP AMER HLDGS
LH
$84.37 $201.61 138.95% $8.6B -$358.49M -4.17% 96.77% 806,259 Healthcare
84 OPEN TEXT CORP
OTEX
$23.86 $30.53 27.97% $12.98B -$358.32M -2.76% 29.87% 701,777 Technology
85 PROLOGIS, INC
PLD
$40.83 $105.88 159.32% $39.82B -$356.2M -0.89% 52.29% 3,694,836 Real Estate
86 TENARIS S.A. ADS
TS
$44.25 $33.63 -24.00% $26.08B -$352.65M -1.35% 20.59% 2,043,883 Energy
87 ZIMMER BIOMET HOLDINGS INC
ZBH
$91.83 $120.85 31.61% $19.83B -$350.89M -1.77% 67.36% 1,359,990 Healthcare
88 TE CONNECTIVITY LTD
TEL
$60.21 $144.80 140.49% $19.24B -$348.94M -1.81% 111.48% 2,111,277 Technology
89 FISERV INC
FI
$170.07 $153.29 -9.87% $34.92B -$346.42M -0.99% 40.80% 2,516,891 Technology
90 CONSTELLATION BRANDS
STZ
$84.97 $258.36 204.06% $15.63B -$346.38M -2.22% 79.50% 1,205,437 Consumer Defensive
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