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
1 138,741 GOOG Alphabet Inc. $395.14 20,082,900 0.2183% Communication Services
2 85,810 MSFT Microsoft Corporation $413.96 34,643,400 0.8534% Technology
3 84,933 BRK-B Berkshire Hathaway Inc. $469.83 4,725,180 Financial Services
4 82,728 AAPL Apple Inc. $287.51 43,998,300 0.3833% Technology
5 79,393 AMZN Amazon.com, Inc. $274.99 50,289,200 Consumer Cyclical
6 69,182 JPM JPMorgan Chase & Co. $314.90 9,672,990 1.8836% Financial Services
7 68,801 NVDA NVIDIA Corporation $207.83 170,891,000 0.0200% Technology
8 64,456 JNJ Johnson & Johnson $224.62 8,130,390 2.2624% Healthcare
9 64,195 META Meta Platforms, Inc. $612.88 15,356,000 0.3432% Communication Services
10 62,856 XOM Exxon Mobil Corporation $148.56 21,691,100 2.6156% Energy
11 62,543 V Visa Inc. $318.80 7,482,260 0.7640% Financial Services
12 60,972 SPY State Street SPDR S&P 500 ETF Trust $733.83 78,094,000 1.0273% ETF
13 59,591 PG The Procter & Gamble Company $147.93 10,366,800 2.8958% Consumer Defensive
14 59,591 HD The Home Depot, Inc. $323.05 3,992,490 2.8072% Consumer Cyclical
15 57,257 CVX Chevron Corporation $185.13 12,132,700 3.5742% Energy
16 56,321 ABBV AbbVie Inc. $204.98 6,958,130 3.1893% Healthcare
17 56,056 COST Costco Wholesale Corporation $995.75 1,825,430 0.5126% Consumer Defensive
18 54,682 MRK Merck & Co., Inc. $113.56 10,100,100 3.0417% Healthcare
19 54,621 WMT Walmart Inc. $130.08 20,554,600 0.7220% Consumer Defensive
20 54,266 LLY Eli Lilly and Company $987.11 3,640,270 0.6668% Healthcare
21 53,741 PEP PepsiCo, Inc. $155.96 6,559,750 3.5901% Consumer Defensive
22 53,189 UNH UnitedHealth Group Incorporated $367.28 8,654,160 2.3861% Healthcare
23 52,698 TSLA Tesla, Inc. $398.73 62,303,800 Consumer Cyclical
24 52,113 CSCO Cisco Systems, Inc. $91.64 22,548,300 1.8033% Technology
25 51,383 MCD McDonald's Corporation $284.10 3,335,480 2.4728% Consumer Cyclical
26 50,510 AVGO Broadcom Inc. $425.44 24,228,300 0.5941% Technology
27 50,360 MA Mastercard Incorporated $491.89 3,581,790 0.6482% Financial Services
28 50,271 DIS The Walt Disney Company $107.99 10,068,500 1.2047% Communication Services
29 50,208 KO The Coca-Cola Company $79.23 16,270,300 2.6155% Consumer Defensive
30 49,624 BAC Bank of America Corporation $53.60 39,946,600 2.0576% Financial Services
31 49,056 PFE Pfizer Inc. $26.51 38,502,800 6.4420% Healthcare
32 47,968 VZ Verizon Communications Inc. $47.44 27,466,100 5.7568% Communication Services
33 47,785 QQQ Invesco QQQ Trust, Series 1 $695.77 59,762,700 0.4211% ETF
34 47,764 ABT Abbott Laboratories $86.25 13,041,500 2.6923% Healthcare
35 47,084 ORCL Oracle Corporation $193.99 28,811,500 1.2393% Technology
36 46,375 IBM International Business Machines Corporation $225.74 6,297,500 2.9093% Technology
37 43,763 AMGN Amgen Inc. $331.11 2,666,960 2.7899% Healthcare
38 43,612 CAT Caterpillar Inc. $926.93 2,650,600 0.6786% Industrials
39 43,337 RTX RTX Corporation $176.74 5,757,040 1.5448% Industrials
40 42,324 NEE NextEra Energy, Inc. $95.39 9,475,300 2.3730% Utilities
41 42,114 T AT&T Inc. $25.55 40,332,100 4.2467% Communication Services
42 42,103 QCOM QUALCOMM Incorporated $192.57 14,121,600 1.9824% Technology
43 41,832 NFLX Netflix, Inc. $88.27 45,501,100 Communication Services
44 41,811 ADBE Adobe Inc. $250.17 5,879,600 Technology
45 41,714 UNP Union Pacific Corporation $268.23 3,149,000 2.0336% Industrials
46 41,659 CRM Salesforce, Inc. $181.19 13,684,000 0.9562% Technology
47 41,231 WFC Wells Fargo & Company $80.40 17,250,300 2.1274% Financial Services
48 40,528 HON Honeywell International Inc. $216.86 3,817,490 2.1346% Industrials
49 40,379 TMO Thermo Fisher Scientific Inc. $472.95 2,126,410 0.3675% Healthcare
50 40,304 LOW Lowe's Companies, Inc. $233.37 2,693,700 2.0101% Consumer Cyclical
51 39,994 LMT Lockheed Martin Corporation $514.26 1,580,490 2.6063% Industrials
52 39,727 BMY Bristol-Myers Squibb Company $56.59 12,170,300 4.1261% Healthcare
53 39,648 INTC Intel Corporation $113.01 106,170,000 Technology
54 38,216 AXP American Express Company $321.90 3,685,720 1.0555% Financial Services
55 38,069 SBUX Starbucks Corporation $106.44 7,788,970 2.3355% Consumer Cyclical
56 37,740 PM Philip Morris International Inc. $170.53 4,913,400 3.4894% Consumer Defensive
57 37,507 CMCSA Comcast Corporation $26.44 31,470,800 4.8817% Communication Services
58 37,020 AMD Advanced Micro Devices, Inc. $421.39 37,230,700 Technology
59 36,596 NKE NIKE, Inc. $43.88 20,816,900 3.6519% Consumer Cyclical
60 36,531 COP ConocoPhillips $118.90 9,723,970 2.5759% Energy
61 36,399 TXN Texas Instruments Incorporated $289.44 7,066,860 1.9781% Technology
62 36,333 ACN Accenture plc $174.57 6,856,340 3.5644% Technology
63 36,315 GLD SPDR Gold Shares $430.96 11,718,600 ETF
64 36,043 DE Deere & Company $591.64 1,465,860 1.0986% Industrials
65 36,002 BA The Boeing Company $229.93 6,449,300 Industrials
66 35,806 UPS United Parcel Service, Inc. $99.88 7,421,590 6.0294% Industrials
67 35,599 ADP Automatic Data Processing, Inc. $207.20 3,792,650 3.0575% Industrials
68 35,567 GS The Goldman Sachs Group, Inc. $937.35 2,243,880 1.6779% Financial Services
69 35,311 GE GE Aerospace $305.83 5,948,840 0.5346% Industrials
70 35,258 DHR Danaher Corporation $174.92 4,371,710 0.7600% Healthcare
71 33,890 MDT Medtronic plc $77.60 8,747,220 3.5075% Healthcare
72 33,859 MMM 3M Company $146.54 3,841,050 2.0270% Industrials
73 33,838 CVS CVS Health Corporation $86.86 7,774,810 3.1937% Healthcare
74 33,659 AMAT Applied Materials, Inc. $428.62 6,715,600 0.4664% Technology
75 33,509 TJX The TJX Companies, Inc. $155.45 4,546,320 1.0845% Consumer Cyclical
76 33,167 DUK Duke Energy Corporation $125.54 4,164,020 3.2729% Utilities
77 33,146 MO Altria Group, Inc. $70.17 9,512,560 5.7819% Consumer Defensive
78 32,695 TSM Taiwan Semiconductor Manufacturing Company Limited $419.50 13,392,200 0.9602% Technology
79 31,850 WM Waste Management, Inc. $220.52 2,144,200 1.4707% Industrials
80 31,783 SYK Stryker Corporation $292.33 2,121,290 1.0914% Healthcare
81 31,654 SO The Southern Company $93.51 5,824,580 3.0610% Utilities
82 31,573 EMR Emerson Electric Co. $147.92 3,164,860 1.5416% Industrials
83 31,265 MDLZ Mondelez International, Inc. $61.87 9,560,800 3.2064% Consumer Defensive
84 31,175 TGT Target Corporation $130.22 5,605,670 3.4999% Consumer Defensive
85 31,167 PYPL PayPal Holdings, Inc. $46.27 19,712,500 0.5584% Financial Services
86 31,101 ETN Eaton Corporation plc $421.39 2,617,540 0.9746% Industrials
87 30,981 MS Morgan Stanley $193.28 6,926,340 2.0989% Financial Services
88 30,701 PANW Palo Alto Networks, Inc. $183.68 10,601,200 Technology
89 30,630 SCHW The Charles Schwab Corporation $92.15 11,392,400 1.2331% Financial Services
90 30,388 INTU Intuit Inc. $388.55 3,881,540 1.1943% Technology
91 30,208 C Citigroup Inc. $127.57 14,059,300 1.8440% Financial Services
92 30,179 BX Blackstone Inc. $124.69 8,920,970 3.7760% Financial Services
93 29,657 SPGI S&P Global Inc. $423.57 2,471,660 0.8928% Financial Services
94 29,653 GILD Gilead Sciences, Inc. $136.30 6,353,290 2.4381% Healthcare
95 29,361 NOW ServiceNow, Inc. $89.05 22,101,700 Technology
96 29,229 ISRG Intuitive Surgical, Inc. $451.73 1,905,720 Healthcare
97 29,109 CL Colgate-Palmolive Company $88.16 6,113,740 2.4485% Consumer Defensive
98 29,007 USB U.S. Bancorp $56.16 9,825,450 3.6357% Financial Services
99 28,721 AMT American Tower Corporation $180.16 3,115,110 3.7710% Real Estate
100 28,247 GD General Dynamics Corporation $347.27 1,387,810 1.7688% Industrials