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Institutional Holding Change (3 month)

Data last updated 2024-07-26 10:10:33 -0500 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 (2024-06-30) Acq/Dsp Shares (2024-06-30) Acq/Dsp Count (2024-03-31) Acq/Dsp Shares (2024-03-31) Cur/Prv SO (Million) e
KRRO KORRO BIO INC. health care pharmaceuticals
14.0
97.9
52.5
67.0
86.0 19.0 6.91 Mil 1.55 Mil

1

1 / 1

19148

19148 / 6

24

24 / 10

404462

404462 / 58953

8.02 / 8.02
KYTX KYVERNA THERAPEUTICS INC. health care biological products (diagnostic and non diagnostic)
6.8
35.1
9.8
61.0
71.0 10.0 30.65 Mil 4.52 Mil

3

3 / 0

56935

56935 / 0

90

90 / 0

30670819

30.67 Mil / 0

43.12 / 43.12
SGBX SAFE & GREEN HOLDINGS CORP. consumer services building material store/dealer
0.1
9.3
2.4
60.0
114.0 54.0 1.54 Mil 724204

3

3 / 6

1454237

1.45 Mil / 63126

1.34 / 1.34
LBPH LONGBOARD PHARMACEUTICALS INC. health care pharmaceuticals
3.6
40.5
37.4
60.0
107.0 47.0 38.54 Mil 17.01 Mil

4

4 / 3

23860

23860 / 15191

92

92 / 12

23126579

23.13 Mil / 1.64 Mil

36.02 / 36.02
DNTH DIANTHUS THERAPEUTICS INC. health care pharmaceuticals
6.6
33.8
29.0
56.0
90.0 34.0 26.39 Mil 10.05 Mil

2

2 / 0

76842

76842 / 0

63

63 / 10

16659360

16.66 Mil / 873634

29.35 / 29.35
SATS ECHOSTAR CORPORATION consumer services telecommunication/television equipment/service
9.5
24.8
20.3
55.0
95.0 40.0 133.86 Mil 55.59 Mil

15

15 / 13

69925

69925 / 229872

232

232 / 66

87561176

87.56 Mil / 11.05 Mil

140.17 / 140.17
NXT NEXTRACKER INC. technology semiconductors
32.1
62.3
47.3
48.0
104.0 56.0 147.21 Mil 79.39 Mil

49

49 / 33

1470153

1.47 Mil / 1.79 Mil

390

390 / 77

86514854

86.51 Mil / 17.52 Mil

141.29 / 141.29
HUBG HUB GROUP INC. transportation oil/gas transmission
38.6
95.2
45.9
48.0
96.0 48.0 59.76 Mil 29.98 Mil

19

19 / 10

14717

14717 / 76483

235

235 / 39

30518919

30.52 Mil / 1.45 Mil

62.25 / 62.25
IMUX IMMUNIC INC. health care pharmaceuticals
0.9
2.5
1.5
46.0
65.0 19.0 58.66 Mil 17.29 Mil

2

2 / 0

64280

64280 / 0

39

39 / 18

43895795

43.90 Mil / 2.11 Mil

90.08 / 90.08
ELEV ELEVATION ONCOLOGY INC. health care pharmaceuticals
0.4
5.8
2.9
40.0
91.0 51.0 49.60 Mil 27.97 Mil

2

2 / 1

153933

153933 / 12244

51

51 / 16

27366779

27.37 Mil / 9.22 Mil

54.64 / 54.64

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 (2024-06-30) Acq/Dsp Shares (2024-06-30) Acq/Dsp Count (2024-03-31) Acq/Dsp Shares (2024-03-31) Cur/Prv SO (Million) e
HARP others others
-63.0
13.0 76.0 2.17 Mil 12.88 Mil 16.93 / 16.93
MACA MORINGA ACQUISITION CORP finance business/consulting/commercial services
10.6
12.6
11.7
-50.0
13.0 63.0 497453 2.45 Mil

2

3 / 2

56351

76769 / 56351

3.87 / 3.87
INAQ INSIGHT ACQUISITION CORP. finance business/consulting/commercial services
-49.0
16.0 65.0 963714 3.95 Mil

2

2 / 2

4734

960 / 4734

6.1 / 6.1
NBST NEWBURY STREET ACQUISITION CORPORATION finance business/consulting/commercial services
-47.0
44.0 91.0 2.18 Mil 4.51 Mil

7

7 / 7

429807

426561 / 429807

4.95 / 4.95
WTMA WELSBACH TECHNOLOGY METALS ACQUISITION CORP. finance diversified financial services
10.5
11.7
11.2
-41.0
61.0 102.0 2.73 Mil 4.54 Mil

3

6 / 3

182260

184281 / 182260

4.46 / 4.46
WNNR others others
-39.0
21.0 60.0 6.84 Mil 19.22 Mil

23

4 / 23

6091168

103050 / 6.09 Mil

31.98 / 31.98
TRCA others others
-31.0
74.0 105.0 4.63 Mil 6.56 Mil 6.27 / 6.27
PMVP PMV PHARMACEUTICALS INC. health care pharmaceuticals
1.2
9.7
1.7
-28.0
91.0 119.0 47.00 Mil 61.15 Mil

1

5 / 1

117101

210042 / 117101

44

50 / 44

11652415

7.75 Mil / 11.65 Mil

51.44 / 51.44
SGHT SIGHT SCIENCES INC. health care medical specialty equipment/services
1.0
9.3
7.8
-27.0
35.0 62.0 17.27 Mil 30.53 Mil

1

5 / 1

4680

52656 / 4680

35

32 / 35

1222085

1.14 Mil / 1.22 Mil

49.55 / 49.55
JFBR JEFFS' BRANDS LTD consumer services department/general/specialty stores
0.2
5.3
0.3
-27.0
52.0 79.0 636446 961539

6

1 / 6

433087

16452 / 433087

1.22 / 1.22

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