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Institutional Holding Change (3 month)

Data last updated 2024-11-27 08:59:33 -0600 US CDT

Top Increase of Institutional Holding

CSV download
Symbol Name Sector Industry 52-week High/Low Hldg Change & Quantile(%) a,b Cur Hldg Pct(%) c Prv Hldg Pct(%) d Cur Hldg Shares Prv Hldg Shares Acq/Dsp Count (2024-09-30) Acq/Dsp Shares (2024-09-30) Acq/Dsp Count (2024-06-30) Acq/Dsp Shares (2024-06-30) Cur/Prv SO (Million) e
WSM WILLIAMS-SONOMA INC. consumer services home furnishings
125.3
348.5
171.4
57.0
109.0 52.0 133.87 Mil 65.47 Mil

763

763 / 140

69713903

69.71 Mil / 2.26 Mil

383

383 / 399

7709736

7.71 Mil / 8.45 Mil

123.1 / 126.34
HG HAMILTON INSURANCE GROUP LTD. others others
12.4
20.7
19.0
39.0
96.0 57.0 61.48 Mil 34.84 Mil

101

101 / 24

30229400

30.23 Mil / 3.55 Mil

74

74 / 34

4739040

4.74 Mil / 5.57 Mil

64.2 / 61.34
UNCY UNICYCIVE THERAPEUTICS INC. health care pharmaceuticals
0.2
1.8
0.7
38.0
58.0 20.0 54.39 Mil 19.10 Mil

22

22 / 7

35291711

35.29 Mil / 7.45 Mil

11

11 / 11

1001677

1.00 Mil / 3.25 Mil

94.36 / 94.36
MDXH MDXHEALTH SA health care medical specialty equipment/services
0.4
4.6
2.0
35.0
69.0 34.0 18.91 Mil 9.32 Mil

17

17 / 0

9630793

9.63 Mil / 0

2

2 / 5

447245

447245 / 436381

27.29 / 27.29
RNST RENASANT CORPORATION finance banks
26.3
39.5
37.9
33.0
103.0 70.0 65.73 Mil 44.60 Mil

148

148 / 54

22280775

22.28 Mil / 1.82 Mil

104

104 / 78

2615926

2.62 Mil / 1.22 Mil

63.57 / 63.56
IVZ INVESCO LTD finance investment management
0.0
18.9
18.0
32.0
103.0 71.0 460.80 Mil 318.38 Mil

259

259 / 199

166701524

166.70 Mil / 24.10 Mil

231

231 / 235

28575369

28.58 Mil / 25.75 Mil

449.44 / 450.03
VITL VITAL FARMS INC. consumer non-durables packaged/specialty foods
12.4
48.4
32.3
31.0
110.0 79.0 47.98 Mil 33.85 Mil

165

165 / 95

16621244

16.62 Mil / 4.58 Mil

148

148 / 90

9530514

9.53 Mil / 5.92 Mil

43.79 / 43.1
NX QUANEX BUILDING PRODUCTS CORPORATION capital goods metal fabrications
24.9
39.3
28.8
30.0
102.0 72.0 48.06 Mil 34.11 Mil

155

155 / 62

15142458

15.14 Mil / 2.82 Mil

108

108 / 82

2201937

2.20 Mil / 1.21 Mil

47.25 / 47.25
WBTN WEBTOON ENTERTAINMENT INC. consumer services news agencies/publishing
10.1
24.2
12.0
30.0
44.0 14.0 55.94 Mil 17.63 Mil

36

36 / 44

7996114

8.00 Mil / 6.11 Mil

59

59 / 0

49067527

49.07 Mil / 0

128.31 / 128.27
RVNC REVANCE THERAPEUTICS INC. health care pharmaceuticals
2.3
9.7
3.8
30.0
117.0 87.0 122.48 Mil 90.93 Mil

114

114 / 99

53339517

53.34 Mil / 43.29 Mil

89

89 / 83

10723675

10.72 Mil / 12.73 Mil

104.9 / 104.82

Top Decrease of Institutional Holding

CSV download
Symbol Name Sector Industry 52-week High/Low Hldg Change & Quantile(%) a,b Cur Hldg Pct(%) c Prv Hldg Pct(%) d Cur Hldg Shares Prv Hldg Shares Acq/Dsp Count (2024-09-30) Acq/Dsp Shares (2024-09-30) Acq/Dsp Count (2024-06-30) Acq/Dsp Shares (2024-06-30) Cur/Prv SO (Million) e
MOR others others
-62.0
27.0 89.0 10.15 Mil 33.53 Mil

28

3 / 28

988182

2107 / 988182

48

16 / 48

10999759

105209 / 11.00 Mil

37.66 / 37.66
ADV ADVANTAGE SOLUTIONS INC. consumer services business/consulting/commercial services
2.6
5.0
3.5
-43.0
35.0 78.0 113.77 Mil 251.27 Mil

42

65 / 42

5024265

13.65 Mil / 5.02 Mil

46

78 / 46

7896800

16.27 Mil / 7.90 Mil

320.75 / 320.54
SPRB SPRUCE BIOSCIENCES INC. health care pharmaceuticals
0.4
6.0
0.5
-42.0
46.0 88.0 18.96 Mil 36.44 Mil

21

8 / 21

3521903

503917 / 3.52 Mil

30

13 / 30

3327392

2.05 Mil / 3.33 Mil

41.3 / 41.3
OM OUTSET MEDICAL INC. health care electromedical & electrotherapeutic apparatus
0.4
6.4
0.9
-37.0
68.0 105.0 35.64 Mil 54.62 Mil

87

23 / 87

25546944

3.63 Mil / 25.55 Mil

62

64 / 62

10277924

8.83 Mil / 10.28 Mil

52.54 / 52.09
NWLI others others
-35.0
62.0 97.0 2.15 Mil 3.32 Mil

2

0 / 2

1072592

0 / 1.07 Mil

67

69 / 67

313252

384213 / 313252

3.44 / 3.44
IBEX IBEX LIMITED technology prepackaged software/programming/edp services
13.0
21.6
20.4
-34.0
43.0 77.0 7.24 Mil 12.86 Mil

27

59 / 27

1041207

1.64 Mil / 1.04 Mil

40

39 / 40

334818

399990 / 334818

16.76 / 16.8
MANU MANCHESTER UNITED LTD. consumer services recreation services
13.5
22.0
17.0
-30.0
60.0 90.0 33.06 Mil 49.25 Mil

48

36 / 48

4453751

3.07 Mil / 4.45 Mil

42

57 / 42

3494188

7.06 Mil / 3.49 Mil

55.02 / 55.02
TCN others others
-23.0
69.0 92.0 188.62 Mil 250.52 Mil 273.46 / 273.46
HUDA others others
-22.0
60.0 82.0 1.32 Mil 1.80 Mil

0

2 / 0

0

4609 / 0

15

0 / 15

1901424

0 / 1.90 Mil

2.18 / 2.18
TCPC BLACKROCK TCP CAPITAL CORP. finance investor finance services
7.7
12.4
9.3
-21.0
21.0 42.0 18.12 Mil 35.67 Mil

66

67 / 66

2364882

2.73 Mil / 2.36 Mil

64

63 / 64

2349070

2.12 Mil / 2.35 Mil

85.59 / 85.59

For reference only. The table does not represent a comprehensive list of top securities being acquired/disposed due to difficulties caused by split, confidential treatment, late filing, and et ac.
a Difference between current holding pct and previous holding pct
b Quantile value compare to industry peers, sector peers, and the market, respectively. c The latest percentage of IVC holding relative to shares outstanding
d The recorded percentage of IVC holding relative to shares outstanding n months ago
e Count of acquisition/disposition filed by institutional holders for corresponding quarter (comparing with previous quarter). For acquisitions, dark green represents new holdings, light green represents adding more shares. For dispositions, dark red represents sold out, light red represents reducing shares.
f Shares amount of acquisition/disposition filed by institutional holders for corresponding quarter (comparing with previous quarter)
g The shares outstanding at the time of the latest transaction
Note: Data updated daily between 4~6am US CDT except 'Hldg Change & Quantiles', 'Hldg Pct', 'Hldg Shares', which are updated weekly