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High Conviction Fund Sells

Fund sells of at least $100M where the fund cut its position by at least half.

Stock Fund Market Value Change
in Stake
Shares HC Sellers
KEYS icon
726
Keysight
KEYS
$54.9B
Kovitz Investment Group Partners
Kovitz Investment Group Partners
Illinois
$307M -100% 1,654,697 3
MKTX icon
727
MarketAxess Holdings
MKTX
$5.72B
HSBC Holdings
HSBC Holdings
United Kingdom
$306M -100% 1,795,922 2
VGT icon
728
Vanguard Information Technology ETF
VGT
$149B
HIIFS
Harel Insurance Investments & Financial Services
Israel
$306M -54% 3,222,944 2
SPRB
729
Spruce Biosciences
SPRB
$178M
CG
Carlyle Group
District of Columbia
$306M -99% 2,857,898 1
TXN icon
730
Texas Instruments
TXN
$244B
Schroder Investment Management Group
Schroder Investment Management Group
United Kingdom
$305M -55% 1,782,208 7
CRM icon
731
Salesforce
CRM
$204B
National Bank of Canada
National Bank of Canada
Quebec, Canada
$305M -56% 1,227,388 20
MTSR
732
DELISTED
Metsera Inc
MTSR
Vanguard Group
Vanguard Group
Pennsylvania
$305M Closed 5,824,993 12
DASH icon
733
DoorDash
DASH
$101B
1832 Asset Management
1832 Asset Management
Ontario, Canada
$305M -94% 1,298,198 13
RSG icon
734
Republic Services
RSG
$67.2B
Caisse de Depot et Placement du Quebec (CDPQ)
Caisse de Depot et Placement du Quebec (CDPQ)
Quebec, Canada
$304M Closed 1,326,827 2
MRVL icon
735
Marvell Technology
MRVL
$219B
Lazard Asset Management
Lazard Asset Management
New York
$304M -54% 3,473,448 5
EXPE icon
736
Expedia Group
EXPE
$38.6B
Wellington Management Group
Wellington Management Group
Massachusetts
$303M -68% 1,225,826 4
SNDK
737
Sandisk
SNDK
$217B
SPC
Slate Path Capital
New York
$302M Closed 2,693,657 8
GNTX icon
738
Gentex
GNTX
$4.89B
Wellington Management Group
Wellington Management Group
Massachusetts
$302M -84% 12,527,728 1
MMM icon
739
3M
MMM
$92.2B
Citadel Advisors
Citadel Advisors
Florida
$302M -75% 1,845,501 3
ORCL icon
740
Oracle
ORCL
$427B
Public Employees Retirement Association of Colorado
Public Employees Retirement Association of Colorado
Colorado
$302M -85% 1,266,751 26
BRK.A icon
741
Berkshire Hathaway Class A
BRK.A
$1.08T
Franklin Resources
Franklin Resources
California
$302M -89% 404 1
KO icon
742
Coca-Cola
KO
$386B
Lazard Asset Management
Lazard Asset Management
New York
$302M -51% 4,325,522 6
RGTI icon
743
Rigetti Computing
RGTI
$5.48B
D.E. Shaw & Co
D.E. Shaw & Co
New York
$301M -72% 9,245,100 3
NVDA icon
744
NVIDIA
NVDA
$5.56T
Voloridge Investment Management
Voloridge Investment Management
Florida
$301M -63% 1,617,702 27
CSGP icon
745
CoStar Group
CSGP
$13B
Massachusetts Financial Services
Massachusetts Financial Services
Massachusetts
$301M -57% 4,246,863 5
TT icon
746
Trane Technologies
TT
$100B
Allianz Asset Management
Allianz Asset Management
Germany
$301M -71% 727,333 4
CHTR icon
747
Charter Communications
CHTR
$17.9B
Arrowstreet Capital
Arrowstreet Capital
Massachusetts
$301M Closed 1,093,356 6
VOO icon
748
Vanguard S&P 500 ETF
VOO
$1.03T
AHSW
Adventist Health System West
California
$300M Closed 490,500 9
ETHA
749
iShares Ethereum Trust ETF
ETHA
$7.85B
D.E. Shaw & Co
D.E. Shaw & Co
New York
$300M -92% 11,483,000 4
HUBS icon
750
HubSpot
HUBS
$12.7B
Franklin Resources
Franklin Resources
California
$300M -67% 724,696 7