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Institutional Holding Change (3 month)

Data last updated 2024-05-27 16:44:36 -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 (2024-03-31) Acq/Dsp Shares (2024-03-31) Acq/Dsp Count (2023-12-31) Acq/Dsp Shares (2023-12-31) Cur/Prv SO (Million) e
ACHV ACHIEVE LIFE SCIENCES INC. health care biological products (diagnostic and non diagnostic)
3.0
6.9
5.4
64.0
82.0 18.0 17.26 Mil 3.74 Mil

26

26 / 16

14440326

14.44 Mil / 538624

15

15 / 16

240350

240350 / 625876

21.17 / 21.17
SGBX SAFE & GREEN HOLDINGS CORP. consumer services building material store/dealer
0.1
9.3
4.6
60.0
118.0 58.0 1.59 Mil 701529

3

3 / 6

1454237

1.45 Mil / 63126

4

4 / 8

62677

62677 / 222606

1.34 / 1.22
SATS ECHOSTAR CORPORATION consumer services telecommunication/television equipment/service
9.5
24.8
18.5
57.0
99.0 42.0 138.39 Mil 58.96 Mil

227

227 / 66

87100567

87.10 Mil / 11.05 Mil

122

122 / 74

29439313

29.44 Mil / 6.95 Mil

140.17 / 140.17
CRBG COREBRIDGE FINANCIAL INC. finance property/casualty/life/health/specialty insurers
16.1
34.7
30.6
57.0
106.0 49.0 648.52 Mil 301.99 Mil

219

219 / 115

54162156

54.16 Mil / 47.82 Mil

186

186 / 72

415079118

415.08 Mil / 14.47 Mil

611.64 / 622.55
GRAY others others
49.0
64.0 15.0 3.61 Mil 875318

15

15 / 3

3031355

3.03 Mil / 93914

5

5 / 3

94347

94347 / 167979

5.66 / 5.66
NXT NEXTRACKER INC. technology semiconductors
32.1
62.1
56.8
49.0
110.0 61.0 149.99 Mil 82.88 Mil

386

386 / 77

86242953

86.24 Mil / 17.52 Mil

173

173 / 74

20089955

20.09 Mil / 9.60 Mil

136.54 / 136.54
IMUX IMMUNIC INC. health care pharmaceuticals
0.9
3.1
1.3
46.0
66.0 20.0 59.21 Mil 18.42 Mil

39

39 / 18

43895795

43.90 Mil / 2.11 Mil

19

19 / 24

1239356

1.24 Mil / 3.71 Mil

90.08 / 89.93
TPHS TRINITY PLACE HOLDINGS INC. finance building operators
0.1
0.7
0.1
38.0
72.0 34.0 45.86 Mil 21.67 Mil

12

12 / 16

25916337

25.92 Mil / 1.94 Mil

16

16 / 11

1765099

1.77 Mil / 641714

64.05 / 64.05
ENFN ENFUSION INC. technology prepackaged software/programming/edp services
7.5
11.6
9.4
36.0
97.0 61.0 88.77 Mil 54.90 Mil

65

65 / 26

4637128

4.64 Mil / 2.33 Mil

47

47 / 27

4182500

4.18 Mil / 1.67 Mil

91.91 / 89.87
FUSN FUSION PHARMACEUTICALS INC. health care pharmaceuticals
2.3
21.6
21.5
36.0
120.0 84.0 86.59 Mil 61.05 Mil

98

98 / 39

31285110

31.29 Mil / 16.64 Mil

57

57 / 11

12371022

12.37 Mil / 1.37 Mil

72.41 / 72.41

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 (2024-03-31) Acq/Dsp Shares (2024-03-31) Acq/Dsp Count (2023-12-31) Acq/Dsp Shares (2023-12-31) Cur/Prv SO (Million) e
HARP HARPOON THERAPEUTICS INC. health care biological products (diagnostic and non diagnostic)
-63.0
13.0 76.0 2.17 Mil 12.88 Mil

1

1 / 1

313136

1.54 Mil / 313136

16.93 / 16.93
NRXP NRX PHARMACEUTICALS INC. health care pharmaceuticals
0.2
6.0
4.0
-60.0
42.0 102.0 4.46 Mil 10.78 Mil

14

7 / 14

408650

92766 / 408650

15

10 / 15

670977

938133 / 670977

10.7 / 10.56
MACA MORINGA ACQUISITION CORP finance business/consulting/commercial services
-50.0
13.0 63.0 497453 2.45 Mil

2

3 / 2

56351

76769 / 56351

0

2 / 0

0

9074 / 0

3.87 / 3.87
WTMA WELSBACH TECHNOLOGY METALS ACQUISITION CORP. finance diversified financial services
10.5
11.7
11.1
-47.0
61.0 108.0 2.73 Mil 4.80 Mil

3

6 / 3

182260

184281 / 182260

9

6 / 9

855491

595383 / 855491

4.46 / 4.46
UAVS AGEAGLE AERIAL SYSTEMS INC. capital goods aerospace (military & civilian)
0.1
2.0
0.6
-44.0
70.0 114.0 8.41 Mil 12.40 Mil

40

1 / 40

5753107

165 / 5.75 Mil

22

16 / 22

2626370

1.81 Mil / 2.63 Mil

11.94 / 10.89
IDT IDT CORPORATION public utilities telecommunication/television equipment/service
21.6
41.6
41.3
-39.0
53.0 92.0 12.62 Mil 21.82 Mil

55

66 / 55

723425

1.63 Mil / 723425

63

57 / 63

1016298

1.86 Mil / 1.02 Mil

23.81 / 23.81
INAQ INSIGHT ACQUISITION CORP. finance business/consulting/commercial services
10.2
11.8
11.7
-34.0
16.0 50.0 963714 3.03 Mil

2

2 / 2

4734

960 / 4734

6

3 / 6

1152048

55376 / 1.15 Mil

6.1 / 6.1
JFBR JEFFS' BRANDS LTD consumer services department/general/specialty stores
0.2
5.3
0.3
-33.0
52.0 85.0 636446 1.04 Mil

6

1 / 6

433087

16452 / 433087

1

4 / 1

412089

599 / 412089

1.22 / 1.22
TRCA others others
-33.0
74.0 107.0 4.63 Mil 6.68 Mil 6.27 / 6.27
RVSN RAIL VISION LTD. others others
0.2
23.4
1.0
-32.0
12.0 44.0 362307 1.33 Mil

6

1 / 6

1045307

21641 / 1.05 Mil

3

2 / 3

14706

1000 / 14706

3.0 / 3.0

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