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Institutional Holding Change (3 month)

Data last updated 2025-01-25 08:48:05 -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 (2024-12-31) Acq/Dsp Shares (2024-12-31) Acq/Dsp Count (2024-09-30) Acq/Dsp Shares (2024-09-30) Cur/Prv SO (Million) e
TTEK TETRA TECH INC. consumer services military/tech
37.5
241.3
38.4
69.0
91.0 22.0 243.81 Mil 58.74 Mil

39

39 / 48

1621586

1.62 Mil / 5.81 Mil

625

625 / 56

194541997

194.54 Mil / 1.27 Mil

267.74 / 267.74
CTNM CONTINEUM THERAPEUTICS INC. health care pharmaceuticals
11.1
22.0
11.2
59.0
75.0 16.0 14.27 Mil 3.07 Mil

2

2 / 1

82

82 / 2

24

24 / 21

1931517

1.93 Mil / 954201

18.99 / 18.99
WSM WILLIAMS-SONOMA INC. consumer services home furnishings
125.3
348.5
213.6
55.0
107.0 52.0 131.60 Mil 65.84 Mil

81

81 / 95

295912

295912 / 2.29 Mil

768

768 / 141

69900147

69.90 Mil / 2.26 Mil

123.1 / 126.34
ZOOZ ZOOZ POWER LTD. technology industrial machinery
1.7
4.0
2.5
48.0
63.0 15.0 3.71 Mil 862199

6

6 / 6

1099699

1.10 Mil / 793750

5.91 / 5.91
CTAS CINTAS CORPORATION consumer services business/consulting/commercial services
180.8
812.0
197.4
47.0
64.0 17.0 258.83 Mil 70.35 Mil

146

146 / 130

1155644

1.16 Mil / 1.01 Mil

1310

1310 / 89

194805719

194.81 Mil / 1.43 Mil

403.54 / 403.3
DKNG DRAFTKINGS INC. consumer services recreation services
28.7
49.6
41.3
46.0
87.0 41.0 423.58 Mil 199.69 Mil

72

72 / 64

1515014

1.52 Mil / 1.14 Mil

761

761 / 13

408037011

408.04 Mil / 2.62 Mil

487.63 / 487.63
HG HAMILTON INSURANCE GROUP LTD. others others
12.4
20.7
19.0
41.0
94.0 53.0 60.24 Mil 33.82 Mil

4

4 / 4

27125

27125 / 13603

101

101 / 24

30229400

30.23 Mil / 3.55 Mil

64.2 / 64.2
RDDT REDDIT INC. technology prepackaged software/programming/edp services
37.4
191.0
182.4
39.0
79.0 40.0 94.16 Mil 47.37 Mil

44

44 / 16

3447409

3.45 Mil / 474040

235

235 / 50

54245744

54.25 Mil / 7.35 Mil

119.73 / 119.73
ULS UL SOLUTIONS INC. health care commercial physical/biological research or service
33.5
59.2
53.3
39.0
110.0 71.0 68.08 Mil 44.13 Mil

7

7 / 6

148271

148271 / 29094

143

143 / 46

26847786

26.85 Mil / 6.82 Mil

61.99 / 61.99
UNCY UNICYCIVE THERAPEUTICS INC. health care pharmaceuticals
0.2
1.8
0.6
38.0
58.0 20.0 54.30 Mil 19.19 Mil

1

1 / 0

15000

15000 / 0

22

22 / 7

35291711

35.29 Mil / 7.45 Mil

94.36 / 94.36

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 (2024-12-31) Acq/Dsp Shares (2024-12-31) Acq/Dsp Count (2024-09-30) Acq/Dsp Shares (2024-09-30) Cur/Prv SO (Million) e
UPXI UPEXI INC. health care specialty tech/drug/chemicals
0.2
15.9
4.3
-67.0
48.0 115.0 499510 1.20 Mil

9

4 / 9

326960

447490 / 326960

1.04 / 1.04
BNIX BANNIX ACQUISITION CORP. finance business/consulting/commercial services
10.8
12.7
11.7
-58.0
42.0 100.0 1.18 Mil 2.86 Mil

1

0 / 1

1377

0 / 1377

11

1 / 11

1209608

98 / 1.21 Mil

2.85 / 2.85
SPRB SPRUCE BIOSCIENCES INC. health care pharmaceuticals
0.3
6.0
0.4
-46.0
40.0 86.0 16.71 Mil 35.55 Mil

21

8 / 21

3521903

503917 / 3.52 Mil

41.3 / 41.3
VLD VELO3D INC. technology industrial machinery
-41.0
31.0 72.0 59.78 Mil 139.38 Mil

3

0 / 3

107506

0 / 107506

194.9 / 194.9
HUDA others others
-40.0
60.0 100.0 1.32 Mil 2.19 Mil

0

2 / 0

0

4609 / 0

2.18 / 2.18
OM OUTSET MEDICAL INC. health care electromedical & electrotherapeutic apparatus
0.4
5.2
0.9
-30.0
66.0 96.0 34.69 Mil 50.26 Mil

2

2 / 2

107861

12100 / 107861

87

22 / 87

25546944

3.62 Mil / 25.55 Mil

52.54 / 52.54
BYNO BYNORDIC ACQUISITION CORPORATION finance business/consulting/commercial services
11.0
12.5
11.4
-30.0
84.0 114.0 3.30 Mil 4.51 Mil

19

4 / 19

2669381

122157 / 2.67 Mil

3.95 / 3.95
MRNS MARINUS PHARMACEUTICALS INC. health care pharmaceuticals
0.2
10.5
0.5
-29.0
83.0 112.0 45.73 Mil 61.70 Mil

3

0 / 3

431260

0 / 431260

52

33 / 52

9373332

9.29 Mil / 9.37 Mil

55.19 / 55.19
FLNT FLUENT INC. consumer services advertising
0.4
4.3
2.8
-27.0
63.0 90.0 10.57 Mil 15.18 Mil

1

2 / 1

600

13193 / 600

16.88 / 16.88
LYRA LYRA THERAPEUTICS INC. health care medical specialty equipment/services
0.2
6.8
0.2
-22.0
56.0 78.0 36.97 Mil 51.38 Mil

3

2 / 3

20040

18110 / 20040

24

32 / 24

3526655

5.84 Mil / 3.53 Mil

65.46 / 65.46

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