Quarterly Top Stocks Sold by Hedge Funds in Dollar Amount - 2023Q3

  • 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 JOHNSON AND JOHNSON
JNJ
$155.75 $148.95 -4.37% $398.78B -$21.27B -5.33% 64.00% 7,592,221 Healthcare
2 APPLE INC
AAPL
$171.21 $182.74 6.73% $2.71T -$12.05B -0.45% 57.40% 64,406,427 Technology
3 CHEWY INC
CHWY
$18.26 $15.44 -15.44% $7.95B -$5.86B -73.76% 23.81% 8,825,318 Consumer Cyclical
4 ALPHABET INC CAP STK
GOOG
$131.85 $171.16 29.81% $1.68T -$4.72B -0.28% 26.57% 23,152,552 Communication Services
5 BOOKING HLDGS INC
BKNG
$3,083.95 $3,660.00 18.68% $112.66B -$3.9B -3.46% 85.84% 282,624 Consumer Cyclical
6 COMCAST CORP
CMCSA
$44.34 $39.05 -11.93% $183.92B -$3.87B -2.10% 80.22% 21,833,052 Communication Services
7 NETFLIX COM INC
NFLX
$377.60 $609.47 61.41% $169.73B -$3.07B -1.81% 76.64% 3,625,895 Communication Services
8 ADVANCED MICRO DEVICES
AMD
$102.82 $153.62 49.41% $167.08B -$2.99B -1.79% 66.25% 63,879,203 Technology
9 T-MOBILE US INC
TMUS
$140.05 $162.83 16.27% $168.1B -$2.92B -1.74% 39.92% 4,376,663 Communication Services
10 NVIDIA CORP
NVDA
$434.99 $904.12 107.85% $1.09T -$2.9B -0.27% 63.72% 52,964,683 Technology
11 VISA INC CLASS A COM
V
$230.01 $277.19 20.51% $479.57B -$2.58B -0.54% 71.80% 5,994,618 Financial Services
12 MARATHON PETE CORP
MPC
$151.34 $180.93 19.55% $61.9B -$2.19B -3.53% 69.67% 2,639,960 Energy
13 LABORATORY CRP AMER HLDGS
LH
$201.05 $201.61 0.28% $17.61B -$2.16B -12.26% 92.11% 806,259 Healthcare
14 DUPONT DE NEMOURS INC
DD
$74.59 $78.20 4.84% $33.66B -$1.98B -5.87% 72.00% 2,458,662 Basic Materials
15 INTUIT INC
INTU
$510.94 $632.43 23.78% $144.6B -$1.91B -1.32% 80.43% 1,272,609 Technology
16 PAYPAL HLDGS INC
PYPL
$58.46 $63.81 9.15% $64.72B -$1.79B -2.76% 64.73% 13,856,160 Financial Services
17 VERIZON COMMUNICATIONS
VZ
$32.41 $39.48 21.81% $136.61B -$1.75B -1.28% 59.54% 18,073,406 Communication Services
18 DEERE & CO
DE
$377.38 $405.42 7.43% $110.8B -$1.68B -1.52% 64.70% 1,537,450 Industrials
19 BRISTOL MYERS SQUIBB COMPANY
BMY
$58.04 $43.67 -24.76% $120.61B -$1.57B -1.30% 74.01% 15,555,657 Healthcare
20 CHUBB LTD COM
CB
$208.18 $251.63 20.87% $86.23B -$1.46B -1.69% 84.05% 1,610,418 Financial Services
21 ADOBE INC
ADBE
$509.90 $488.10 -4.28% $234.04B -$1.36B -0.58% 78.64% 3,813,654 Technology
22 LOCKHEED MARTIN CORP
LMT
$408.96 $466.16 13.99% $102.73B -$1.31B -1.27% 72.84% 1,131,475 Industrials
23 ALIBABA GROUP HLDG LTD SPONSOR
BABA
$86.74 $78.46 -9.55% $228.93B -$1.26B -0.55% 13.23% 14,597,731 Consumer Cyclical
24 CISCO SYSTEMS
CSCO
$53.76 $48.00 -10.71% $220.68B -$1.25B -0.57% 70.87% 19,341,688 Technology
25 MASTERCARD INCORPORATED C
MA
$395.91 $454.77 14.87% $374.53B -$1.19B -0.32% 74.13% 2,436,455 Financial Services
26 VALERO ENERGY CORP
VLO
$141.71 $157.07 10.84% $50.02B -$1.18B -2.36% 74.75% 3,167,781 Energy
27 LAM RESEARCH CORP
LRCX
$626.77 $913.28 45.71% $85.14B -$1.18B -1.38% 80.27% 1,039,513 Technology
28 AERCAP HOLDINGS NV
AER
$62.67 $90.12 43.80% $14.27B -$1.16B -8.14% 87.84% 1,626,468 Industrials
29 AMERICAN EXPRESS COMPANY
AXP
$149.19 $236.24 58.35% $109.8B -$1.16B -1.05% 82.00% 3,016,840 Financial Services
30 FISERV INC
FI
$112.96 $153.29 35.70% $69.57B -$1.13B -1.62% 87.12% 2,516,891 Technology
31 MERCK & CO INC
MRK
$102.95 $129.55 25.84% $262.21B -$1.09B -0.42% 73.83% 8,211,647 Healthcare
32 RESMED INC
RMD
$147.87 $212.88 43.96% $21.8B -$1.09B -5.01% 58.45% 1,106,119 Healthcare
33 EXXON MOBIL CORPORATION
XOM
$117.58 $116.15 -1.22% $476.43B -$1.09B -0.23% 51.93% 18,658,418 Energy
34 SAIA INC
SAIA
$398.65 $413.31 3.68% $10.67B -$1.08B -10.10% 102.20% 364,819 Industrials
35 ELECTRONIC ARTS INC
EA
$120.40 $125.24 4.02% $33.47B -$1.07B -3.19% 84.76% 2,106,057 Technology
36 LINDE PLC SHS
LIN
$372.35 $427.71 14.87% $183.3B -$1.06B -0.58% 79.68% 2,467,600 Basic Materials
37 AON PLC
AON
$324.22 $283.81 -12.46% $70.5B -$1.06B -1.50% 79.12% 1,075,785 Financial Services
38 STATE STREET CORP
STT
$66.96 $75.32 12.49% $21.87B -$1.04B -4.74% 82.73% 2,391,021 Financial Services
39 BORGWARNER INC
BWA
$40.37 $37.51 -7.08% $9.46B -$1.03B -10.84% 94.17% 2,992,055 Consumer Cyclical
40 HCA HEALTHCARE INC
HCA
$245.98 $309.42 25.79% $67.99B -$1.01B -1.48% 60.19% 1,030,447 Healthcare
41 S&P GLOBAL INC
SPGI
$365.41 $429.21 17.46% $116.53B -$966.41M -0.83% 84.50% 1,438,686 Financial Services
42 ULTA BEAUTY INC
ULTA
$399.45 $388.48 -2.75% $19.81B -$927.79M -4.68% 87.92% 841,975 Consumer Cyclical
43 ACCENTURE PLC
ACN
$307.11 $311.99 1.59% $196.12B -$924.84M -0.47% 72.59% 2,684,560 Technology
44 RTX CORPORATION COM
RTX
$71.97 $103.94 44.42% $103.31B -$887.23M -0.86% 79.08% 8,050,534 Industrials
45 TRINET GROUP INC
TNET
$116.48 $103.23 -11.38% $6.64B -$865.12M -13.03% 84.90% 260,068 Industrials
46 CITIGROUP
C
$41.13 $62.75 52.57% $80.44B -$860.9M -1.07% 67.84% 15,059,452 Financial Services
47 CENTENE CORP DEL
CNC
$68.88 $75.85 10.12% $37.59B -$857.1M -2.28% 87.68% 3,209,508 Healthcare
48 BAKER HUGHES COMPANY
BKR
$35.32 $31.90 -9.68% $35.85B -$808.51M -2.26% 89.40% 7,545,837 Energy
49 CHIPOLTE MEXICAN GRILL INC
CMG
$36.64 $3,183.25 8,588.72% $50.76B -$787.33M -1.55% 88.74% 239,198 Consumer Cyclical
50 TAIWAN SEMICON MFG LTD
TSM
$86.90 $143.60 65.25% $2.25T -$783.34M -0.03% 3.26% 15,570,534 Technology
51 HUMANA INC
HUM
$486.52 $324.14 -33.38% $60.54B -$778.03M -1.29% 90.07% 1,620,509 Healthcare
52 TRUIST FINL CORP COM
TFC
$28.61 $39.39 37.68% $38.18B -$773.95M -2.03% 68.88% 9,055,431 Financial Services
53 CSX CORP
CSX
$30.75 $34.22 11.28% $61.9B -$762.84M -1.23% 71.07% 12,419,636 Industrials
54 ON SEMICONDUCTOR CORP
ON
$92.95 $70.67 -23.97% $41.53B -$754.12M -1.82% 91.27% 6,858,244 Technology
55 RH COM
RH
$264.36 $278.76 5.45% $5.71B -$752.07M -13.17% 72.89% 756,308 Consumer Cyclical
56 ALCON INC.
ALC
$77.06 $80.35 4.27% $38.26B -$747.37M -1.95% 43.47% 899,136 Healthcare
57 FORTINET INC
FTNT
$58.68 $59.63 1.62% $46.25B -$747.18M -1.62% 62.83% 5,375,822 Technology
58 OLD DOMINION FREIGHT LINES INC
ODFL
$204.57 $181.70 -11.18% $90.08B -$733.5M -0.81% 34.94% 1,452,929 Industrials
59 STARBUCKS CORPORATION
SBUX
$91.27 $73.50 -19.47% $105.08B -$730.46M -0.70% 69.01% 9,698,742 Consumer Cyclical
60 MORGAN STANLEY
MS
$81.67 $95.64 17.11% $134.43B -$726.47M -0.54% 83.28% 8,140,236 Financial Services
61 HILTON WORLDWIDE HLDGS INC
HLT
$150.18 $200.39 33.43% $39.65B -$723.46M -1.82% 91.95% 1,497,308 Consumer Cyclical
62 NETAPP INC
NTAP
$75.88 $109.48 44.28% $16.69B -$692.1M -4.15% 82.98% 1,967,221 Technology
63 FOX CORP
FOXA
$31.20 $33.16 6.28% $16.57B -$689.24M -4.16% 48.96% 3,279,572 Communication Services
64 SCHOLASTIC CORP
SCHL
$38.14 $35.70 -6.40% $1.32B -$676.35M -51.10% 70.69% 245,063 Communication Services
65 NETEASE INC ADS
NTES
$100.16 $96.63 -3.52% $65.14B -$671.54M -1.03% 10.60% 1,525,544 Technology
66 AUTOZONE INC
AZO
$2,539.99 $2,962.52 16.64% $48.52B -$662.46M -1.37% 84.46% 147,444 Consumer Cyclical
67 TARGET CORPORATION
TGT
$110.57 $159.59 44.33% $51.17B -$655.69M -1.28% 76.79% 3,767,601 Consumer Defensive
68 VERTEX PHARMACEUTICALS INC
VRTX
$347.74 $418.82 20.44% $90.59B -$654.25M -0.72% 88.87% 1,040,193 Healthcare
69 REGENERON PHARMACEUTICALS INC
REGN
$822.96 $955.76 16.14% $93.57B -$653.63M -0.70% 79.11% 466,714 Healthcare
70 PACCAR INC
PCAR
$85.02 $107.05 25.91% $44.64B -$653.42M -1.46% 63.87% 2,473,606 Industrials
71 ATLASSIAN CORP
TEAM
$201.51 $178.52 -11.41% $52.27B -$650.36M -1.24% 51.52% 1,693,568 Technology
72 AMERICAN INTL GROUP INC
AIG
$60.60 $79.89 31.83% $43.95B -$646.26M -1.47% 85.37% 4,239,936 Financial Services
73 NIO INC ADS
NIO
$9.04 $5.22 -42.26% $15.37B -$633.82M -4.12% 20.19% 54,459,785 Consumer Cyclical
74 FERGUSON PLC
FERG
$164.47 $219.53 33.48% $34.08B -$620.58M -1.82% 74.85% 1,225,793 Industrials
75 MCDONALDS CORP
MCD
$263.44 $268.49 1.92% $192.92B -$592.82M -0.31% 66.63% 3,245,444 Consumer Cyclical
76 NUCOR CORP
NUE
$156.35 $169.80 8.60% $39.15B -$577.33M -1.47% 75.78% 1,332,163 Basic Materials
77 BAIDU INC SPON ADR RPTNG
BIDU
$134.35 $109.60 -18.42% $381.15B -$571.84M -0.15% 2.42% 3,497,081 Communication Services
78 AUTOMATIC DATA PROCESSING
ADP
$240.58 $242.94 0.98% $100.01B -$564.58M -0.56% 78.14% 1,793,134 Industrials
79 APPLOVIN CORP COM
APP
$39.96 $74.00 85.19% $14.49B -$559.14M -3.86% 36.25% 4,378,893 Technology
80 EQUIFAX INCORPORATED
EFX
$183.18 $234.30 27.91% $22.7B -$547.81M -2.41% 94.81% 876,844 Industrials
81 DR HORTON INC
DHI
$107.47 $147.74 37.47% $36.89B -$544.23M -1.48% 79.53% 2,381,390 Consumer Cyclical
82 COGNIZANT TECH SOLUTIONS CORP
CTSH
$67.74 $67.72 -0.03% $34.21B -$541M -1.58% 89.15% 4,573,906 Technology
83 COSTAR GROUP INC
CSGP
$76.89 $90.32 17.47% $31.4B -$540.85M -1.72% 94.74% 2,355,704 Real Estate
84 MARSH & MCLENNAN COS INC
MMC
$190.30 $203.59 6.98% $94.96B -$535.61M -0.56% 85.09% 1,625,745 Financial Services
85 ANALOG DEVICES INC
ADI
$175.09 $204.86 17.00% $88.59B -$535.08M -0.60% 84.19% 3,441,177 Technology
86 LIGHT & WONDER, INC.
LNW
$71.33 $96.52 35.31% $6.63B -$528.4M -7.97% 76.48% 618,903 Consumer Cyclical
87 SEA LTD ADR
SE
$43.95 $66.75 51.88% $26.12B -$526.43M -2.02% 47.65% 6,517,768 Consumer Cyclical
88 BIOGEN INC
BIIB
$257.01 $219.72 -14.51% $37.42B -$505.57M -1.35% 84.10% 1,319,796 Healthcare
89 BRUKER CORPORATION COM
BRKR
$62.30 $73.70 18.30% $9.17B -$502.43M -5.48% 73.99% 969,480 Healthcare
90 SPECTRUM BRANDS HLDGS INC
SPB
$78.35 $84.52 7.87% $3.09B -$502.02M -16.22% 88.30% 337,680 Consumer Defensive
91 PALO ALTO NETWORKS, INC
PANW
$234.44 $303.01 29.25% $80.25B -$501.49M -0.62% 75.38% 6,176,890 Technology
92 MICROCHIP TECHNOLOGY INC
MCHP
$78.05 $91.99 17.86% $43.5B -$499.19M -1.15% 86.98% 5,576,863 Technology
93 DIGITAL REALTY TRUST
DLR
$121.02 $140.25 15.89% $37.79B -$498.74M -1.32% 96.26% 2,025,396 Real Estate
94 PFIZER INC
PFE
$33.17 $28.27 -14.77% $189.37B -$491.06M -0.26% 66.97% 42,456,437 Healthcare
95 HONEYWELL INTERNATIONAL INC
HON
$184.74 $198.05 7.20% $123.44B -$490.65M -0.40% 73.36% 2,858,831 Industrials
96 GRAINGER W.W.INC
GWW
$691.84 $948.92 37.16% $34.66B -$488.88M -1.41% 69.64% 218,372 Industrials
97 BUNGE GLOBAL SA SHS
BG
$108.25 $105.36 -2.67% $16.32B -$488.08M -2.99% 81.92% 1,693,603 Consumer Defensive
98 VALE S A ADR
VALE
$13.40 $12.55 -6.34% $58.56B -$486.35M -0.83% 16.37% 27,912,481 Basic Materials
99 COINBASE GLOBAL INC
COIN
$75.08 $211.20 181.30% $19.1B -$484M -2.53% 40.29% 12,999,383 Technology
100 NXP SEMICONDUCTORS N V
NXPI
$199.92 $260.21 30.16% $52.25B -$483.75M -0.93% 87.90% 2,351,800 Technology
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