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Holding690 | Sector | Position↕ | Traded↕ | Ownership↕ | Shares Δ↕ | Shares Δ % | Market Cap↕ | Owned Since↕ |
|---|---|---|---|---|---|---|---|---|
Semiconductors Technology | $41.5M 3.79% | -$2.0M Sold | 0.003% 125.9K shares | 131.9K → 125.9K −$2.0M | -4.59% | $1.56T Mega Cap | Q4 2018 Held for 6y 11m | |
ETF ETF | $30.1M 2.75% | -$417.7K Sold | — 45.1K shares | 45.8K → 45.1K −$417.7K | -1.37% | — — | ≤ Q2 2013 Held for 12y 5m+ | |
Software - Infrastructure Technology | $29.5M 2.69% | -$155.4K Sold | 0.001% 56.9K shares | 57.2K → 56.9K −$155.4K | -0.52% | $3.85T Mega Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Internet Content & Information Communication Services | $27.1M 2.47% | -$777.2K Sold | 0.001% 111.4K shares | 114.6K → 111.4K −$777.2K | -2.79% | $2.95T Mega Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Banks - Diversified Financial Services | $26.7M 2.44% | -$592.7K Sold | 0.003% 84.6K shares | 86.5K → 84.6K −$592.7K | -2.17% | $867.35B Mega Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Consumer Electronics Technology | $25.3M 2.31% | +$348.1K Bought | 0.001% 99.5K shares | 98.2K → 99.5K +$348.1K | +1.39% | $3.78T Mega Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Hardware, Equipment & Parts Technology | $22.4M 2.04% | -$1.7M Sold | 0.015% 180.6K shares | 194.8K → 180.6K −$1.7M | -7.25% | $151.09B Large Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Semiconductors Technology | $19.6M 1.79% | -$754.2K Sold | 0.0% 105.3K shares | 109.3K → 105.3K −$754.2K | -3.7% | $4.54T Mega Cap | Q4 2018 Held for 6y 11m | |
Internet Content & Information Communication Services | $17.6M 1.61% | +$8.8K Bought | 0.001% 24.0K shares | 24.0K → 24.0K +$8.8K | +0.05% | $1.84T Mega Cap | Q2 2016 Held for 9y 5m | |
ETF ETF | $17.5M 1.6% | +$287.0K Bought | — 344.2K shares | 338.5K → 344.2K +$287.0K | +1.66% | — — | Q3 2024 Held for 1y 2m | |
Auto - Dealerships Consumer Cyclical | $16.9M 1.55% | — | 0.407% 316.8K shares | — | — | $4.2B Mid Cap | Q4 2022 Held for 2y 11m | |
Unknown Unknown | $16.3M 1.49% | -$174.2K Sold | — 45.8K shares | 46.3K → 45.8K −$174.2K | -1.06% | — — | Q4 2022 Held for 2y 11m | |
Financial - Capital Markets Financial Services | $15.9M 1.45% | -$668.1K Sold | 0.007% 19.9K shares | 20.7K → 19.9K −$668.1K | -4.04% | $241.07B Mega Cap | Q3 2020 Held for 5y 2m | |
Discount Stores Consumer Defensive | $15.1M 1.38% | +$53.2K Bought | 0.002% 146.5K shares | 145.9K → 146.5K +$53.2K | +0.35% | $821.68B Mega Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Specialty Retail Consumer Cyclical | $14.8M 1.36% | -$34.5K Sold | 0.001% 67.6K shares | 67.8K → 67.6K −$34.5K | -0.23% | $2.34T Mega Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Apparel - Retail Consumer Cyclical | $14.6M 1.33% | -$206.3K Sold | 0.009% 101.0K shares | 102.4K → 101.0K −$206.3K | -1.39% | $160.86B Large Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Software - Infrastructure Technology | $14.5M 1.32% | +$24.4K Bought | 0.011% 71.2K shares | 71.1K → 71.2K +$24.4K | +0.17% | $137.82B Large Cap | Q1 2022 Held for 3y 8m | |
Discount Stores Consumer Defensive | $14.4M 1.31% | +$325.8K Bought | 0.003% 15.5K shares | 15.2K → 15.5K +$325.8K | +2.32% | $410.27B Mega Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Drug Manufacturers - General Healthcare | $13.4M 1.23% | +$9.6K Bought | 0.003% 72.4K shares | 72.3K → 72.4K +$9.6K | +0.07% | $446.55B Mega Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Semiconductors Technology | $12.7M 1.16% | +$11.2K Bought | 0.037% 198.0K shares | 197.9K → 198.0K +$11.2K | +0.09% | $34.7B Large Cap | Q3 2018 Held for 7y 2m | |
Financial - Data & Stock Exchanges Financial Services | $12.4M 1.14% | -$26.1K Sold | 0.013% 73.8K shares | 74.0K → 73.8K −$26.1K | -0.21% | $96.4B Large Cap | Q3 2016 Held for 9y 2m | |
Travel Services Consumer Cyclical | $12.4M 1.13% | -$140.4K Sold | 0.007% 2.3K shares | 2.3K → 2.3K −$140.4K | -1.12% | $174.99B Large Cap | Q2 2024 Held for 1y 5m | |
Asset Management - Global Financial Services | $12.2M 1.12% | +$122.7K Bought | 0.016% 91.7K shares | 90.8K → 91.7K +$122.7K | +1.01% | $76.2B Large Cap | Q1 2022 Held for 3y 8m | |
Telecommunications Services Communication Services | $12.2M 1.11% | -$35.4K Sold | 0.005% 50.9K shares | 51.0K → 50.9K −$35.4K | -0.29% | $269.40B Mega Cap | Q3 2018 Held for 7y 2m | |
Software - Application Technology | $12.0M 1.1% | -$252.2K Sold | 0.006% 122.8K shares | 125.3K → 122.8K −$252.2K | -2.05% | $204.31B Mega Cap | Q2 2023 Held for 2y 5m | |
Financial - Credit Services Financial Services | $12.0M 1.09% | +$63.5K Bought | 0.002% 35.0K shares | 34.8K → 35.0K +$63.5K | +0.53% | $662.60B Mega Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Industrial - Machinery Industrials | $11.9M 1.08% | -$35.2K Sold | 0.008% 31.7K shares | 31.8K → 31.7K −$35.2K | -0.3% | $145.70B Large Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Financial - Capital Markets Financial Services | $11.8M 1.07% | -$264.5K Sold | 0.007% 123.2K shares | 126.0K → 123.2K −$264.5K | -2.2% | $173.30B Large Cap | Q1 2020 Held for 5y 8m | |
Specialty Retail Consumer Cyclical | $11.7M 1.07% | -$522.7K Sold | 0.048% 21.4K shares | 22.4K → 21.4K −$522.7K | -4.27% | $24.5B Large Cap | Q2 2020 Held for 5y 5m | |
Drug Manufacturers - General Healthcare | $11.7M 1.07% | +$405.9K Bought | 0.002% 15.3K shares | 14.8K → 15.3K +$405.9K | +3.6% | $684.00B Mega Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Oil & Gas Integrated Energy | $11.5M 1.05% | -$177.2K Sold | 0.002% 101.7K shares | 103.3K → 101.7K −$177.2K | -1.52% | $480.68B Mega Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Software - Application Technology | $11.3M 1.04% | -$2.0K Sold | 0.006% 16.6K shares | 16.6K → 16.6K −$2.0K | -0.02% | $190.40B Large Cap | Q1 2022 Held for 3y 8m | |
Medical - Distribution Healthcare | $11.3M 1.03% | +$11.3M Bought | 0.012% 14.6K shares | 29.0 → 14.6K +$11.3M | +50,389.66% | $96.1B Large Cap | Q3 2021 Held for 4y 2m | |
Medical - Diagnostics & Research Healthcare | $11.2M 1.02% | +$211.5K Bought | 0.006% 23.0K shares | 22.6K → 23.0K +$211.5K | +1.93% | $183.15B Large Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Waste Management Industrials | $11.2M 1.02% | +$145.7K Bought | 0.013% 50.6K shares | 49.9K → 50.6K +$145.7K | +1.32% | $89.0B Large Cap | Q2 2019 Held for 6y 5m | |
Household & Personal Products Consumer Defensive | $11.0M 1.01% | +$295.5K Bought | 0.003% 71.8K shares | 69.9K → 71.8K +$295.5K | +2.75% | $359.62B Mega Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Home Improvement Consumer Cyclical | $11.0M 1.0% | -$9.5K Sold | 0.008% 43.6K shares | 43.6K → 43.6K −$9.5K | -0.09% | $140.94B Large Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Railroads Industrials | $10.9M 0.996% | +$344.2K Bought | 0.008% 46.1K shares | 44.7K → 46.1K +$344.2K | +3.26% | $140.18B Large Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Communication Equipment Technology | $10.5M 0.957% | +$14.2K Bought | 0.014% 22.9K shares | 22.9K → 22.9K +$14.2K | +0.14% | $76.2B Large Cap | Q3 2022 Held for 3y 2m | |
Insurance - Brokers Financial Services | $10.3M 0.943% | +$56.0K Bought | 0.013% 29.0K shares | 28.8K → 29.0K +$56.0K | +0.55% | $76.9B Large Cap | Q4 2022 Held for 2y 11m | |
Financial - Data & Stock Exchanges Financial Services | $10.1M 0.925% | +$5.4K Bought | 0.007% 20.8K shares | 20.8K → 20.8K +$5.4K | +0.05% | $148.59B Large Cap | Q1 2020 Held for 5y 8m | |
Oil & Gas Integrated Energy | $10.0M 0.917% | +$94.9K Bought | 0.003% 64.6K shares | 64.0K → 64.6K +$94.9K | +0.95% | $312.88B Mega Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Industrial - Machinery Industrials | $10.0M 0.91% | +$293.7K Bought | 0.019% 20.0K shares | 19.4K → 20.0K +$293.7K | +3.04% | $53.7B Large Cap | ≤ Q2 2013 Held for 12y 5m+ | |
Software - Application Technology | $9.7M 0.89% | +$352.4K Bought | 0.004% 41.1K shares | 39.6K → 41.1K +$352.4K | +3.75% | $225.62B Mega Cap | Q1 2017 Held for 8y 8m | |
Regulated Electric Utilities | $9.3M 0.851% | +$156.5K Bought | 0.006% 123.4K shares | 121.3K → 123.4K +$156.5K | +1.71% | $155.46B Large Cap | ≤ Q2 2013 Held for 12y 5m+ | |
ETF ETF | $9.2M 0.842% | -$305.0K Sold | — 181.8K shares | 187.8K → 181.8K −$305.0K | -3.2% | — — | Q1 2021 Held for 4y 8m | |
Medical - Diagnostics & Research Healthcare | $9.1M 0.835% | +$213.3K Bought | 0.028% 48.1K shares | 47.0K → 48.1K +$213.3K | +2.39% | $32.3B Large Cap | Q2 2019 Held for 6y 5m | |
Medical - Devices Healthcare | $9.0M 0.823% | +$422.5K Bought | 0.006% 24.4K shares | 23.2K → 24.4K +$422.5K | +4.92% | $141.33B Large Cap | Q3 2016 Held for 9y 2m | |
Drug Manufacturers - Specialty & Generic Healthcare | $9.0M 0.819% | +$420.7K Bought | 0.014% 61.3K shares | 58.4K → 61.3K +$420.7K | +4.92% | $64.8B Large Cap | Q3 2018 Held for 7y 2m | |
ETF ETF | $9.0M 0.818% | -$15.7K Sold | — 332.4K shares | 332.9K → 332.4K −$15.7K | -0.18% | — — | Q1 2024 Held for 1y 8m |