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Institutional Holding Change (3 month)

Data last updated 2023-12-06 07:19:34 -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 (2023-09-30) Acq/Dsp Shares (2023-09-30) Acq/Dsp Count (2023-06-30) Acq/Dsp Shares (2023-06-30) Cur/Prv SO (Million) e
GOSS GOSSAMER BIO INC. health care pharmaceuticals
0.5
3.6
1.0
62.0
96.0 34.0 215.81 Mil 77.01 Mil

62

62 / 53

153372701

153.37 Mil / 9.53 Mil

33

33 / 67

9108611

9.11 Mil / 24.79 Mil

225.41 / 225.32
ACTG ACACIA RESEARCH CORPORATION miscellaneous miscellaneous manufacturing
3.4
4.7
3.8
41.0
88.0 47.0 87.74 Mil 46.93 Mil

40

40 / 35

44011272

44.01 Mil / 2.19 Mil

48

48 / 44

6135269

6.14 Mil / 2.44 Mil

99.89 / 99.89
FBRX FORTE BIOSCIENCES INC. health care pharmaceuticals
0.4
1.3
0.5
37.0
48.0 11.0 17.48 Mil 4.03 Mil

15

15 / 13

13595012

13.60 Mil / 348213

10

10 / 11

207997

207997 / 488229

36.34 / 36.28
CRBU CARIBOU BIOSCIENCES INC. health care specialty tech/drug/chemicals
3.4
9.7
5.9
34.0
86.0 52.0 75.93 Mil 45.70 Mil

87

87 / 40

32810169

32.81 Mil / 3.15 Mil

63

63 / 50

3739235

3.74 Mil / 4.90 Mil

88.43 / 88.28
ABOS ACUMEN PHARMACEUTICALS INC. health care pharmaceuticals
1.8
11.3
2.8
31.0
79.0 48.0 46.01 Mil 27.82 Mil

48

48 / 21

19159698

19.16 Mil / 2.31 Mil

23

23 / 36

1636033

1.64 Mil / 2.73 Mil

57.91 / 57.87
EXR EXTRA SPACE STORAGE INC consumer services real estate/investment trust
101.2
170.3
136.6
30.0
98.0 68.0 207.58 Mil 144.55 Mil

489

489 / 155

70295197

70.30 Mil / 5.71 Mil

290

290 / 261

16793465

16.79 Mil / 7.14 Mil

211.28 / 211.28
ICPT INTERCEPT PHARMACEUTICALS INC. health care pharmaceuticals
25.0
120.0 95.0 50.36 Mil 39.79 Mil

100

100 / 64

18901461

18.90 Mil / 12.64 Mil

67

67 / 72

14017643

14.02 Mil / 6.59 Mil

41.83 / 41.78
EMKR EMCORE CORPORATION technology semiconductors
0.4
1.5
0.5
25.0
72.0 47.0 38.92 Mil 25.36 Mil

22

22 / 33

17177457

17.18 Mil / 4.13 Mil

23

23 / 34

1038748

1.04 Mil / 4.90 Mil

54.16 / 54.16
CRGY CRESCENT ENERGY COMPANY energy oil & gas production
9.2
14.2
11.0
23.0
58.0 35.0 51.29 Mil 26.68 Mil

96

96 / 48

25392937

25.39 Mil / 868251

79

79 / 52

2542073

2.54 Mil / 2.14 Mil

88.61 / 75.96
IOBT IO BIOTECH INC. health care pharmaceuticals
0.8
3.3
1.3
23.0
46.0 23.0 30.39 Mil 14.90 Mil

12

12 / 6

16552302

16.55 Mil / 183047

6

6 / 6

238734

238734 / 1.91 Mil

65.88 / 65.88

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 (2023-09-30) Acq/Dsp Shares (2023-09-30) Acq/Dsp Count (2023-06-30) Acq/Dsp Shares (2023-06-30) Cur/Prv SO (Million) e
WRAC WILLIAMS ROWLAND ACQUISITION CORP. finance business/consulting/commercial services
-63.0
40.0 103.0 3.31 Mil 8.56 Mil

9

6 / 9

1105555

349895 / 1.11 Mil

7

6 / 7

508907

240086 / 508907

8.35 / 8.35
LRFC LOGAN RIDGE FINANCE CORPORATION finance financing/mortgage
18.5
25.0
21.9
-48.0
24.0 72.0 647228 1.94 Mil

4

7 / 4

1367

243296 / 1367

2

11 / 2

511

56708 / 511

2.68 / 2.69
BITE BITE ACQUISITION CORP. finance business/consulting/commercial services
9.9
11.4
10.6
-46.0
40.0 86.0 3.44 Mil 7.35 Mil

7

6 / 7

715279

705715 / 715279

4

6 / 4

125472

209858 / 125472

8.52 / 8.52
BNIX BANNIX ACQUISITION CORP. finance business/consulting/commercial services
-43.0
56.0 99.0 3.06 Mil 5.42 Mil

4

6 / 4

332705

315903 / 332705

8

4 / 8

113544

181153 / 113544

5.46 / 5.46
FAZE FAZE HOLDINGS INC. consumer services advertising
0.2
2.5
0.2
-36.0
25.0 61.0 19.34 Mil 46.20 Mil

16

12 / 16

336629

1.64 Mil / 336629

16

8 / 16

721568

185720 / 721568

77.5 / 76.33
BGRY others others
-28.0
85.0 113.0 202.30 Mil 268.47 Mil

48

0 / 48

31732357

0 / 31.73 Mil

31

40 / 31

2154864

6.33 Mil / 2.15 Mil

237.02 / 237.02
INVO INVO BIOSCIENCE INC. health care medical specialty equipment/services
0.1
7.2
1.6
-28.0
75.0 103.0 1.87 Mil 2.51 Mil

16

0 / 16

903116

0 / 903116

10

6 / 10

1505619

52171 / 1.51 Mil

2.47 / 2.45
CYXT others others
-27.0
31.0 58.0 56.23 Mil 105.12 Mil

5

0 / 5

740675

0 / 740675

74

1 / 74

55517208

44217 / 55.52 Mil

180.32 / 180.32
MCB METROPOLITAN BANK HOLDING CORP. finance banks
14.0
61.0
44.0
-26.0
94.0 120.0 10.42 Mil 13.22 Mil

48

51 / 48

2480496

799236 / 2.48 Mil

66

60 / 66

2684619

2.43 Mil / 2.68 Mil

11.06 / 11.06
SYM SYMBOTIC INC. capital goods industrial machinery
10.2
64.1
49.6
-24.0
57.0 81.0 46.29 Mil 65.09 Mil

52

104 / 52

3014591

3.57 Mil / 3.01 Mil

28

100 / 28

1660102

6.07 Mil / 1.66 Mil

80.86 / 80.86

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