Largest Hedge Fund Sells

Stock Fund Market Value Shares Status
WCN icon
1376
Waste Connections
WCN
$45.3B
T. Rowe Price Associates
1376
T. Rowe Price Associates
Maryland
$244M 1,938,976 Reduced
LIN icon
1377
Linde
LIN
$226B
JPMorgan Chase & Co
1377
JPMorgan Chase & Co
New York
$244M 831,604 Reduced
NVO icon
1378
Novo Nordisk
NVO
$244B
Renaissance Technologies
1378
Renaissance Technologies
New York
$244M 5,080,800 Reduced
BRK.B icon
1379
Berkshire Hathaway Class B
BRK.B
$1.07T
Nuveen Asset Management
1379
Nuveen Asset Management
Illinois
$244M 893,505 Reduced
CIEN icon
1380
Ciena
CIEN
$18.6B
SCC
1380
Spring Creek Capital
Kansas
$244M 4,286,398 Closed
BRK.B icon
1381
Berkshire Hathaway Class B
BRK.B
$1.07T
Healthcare of Ontario Pension Plan (HOOPP) Trust Fund
1381
Healthcare of Ontario Pension Plan (HOOPP) Trust Fund
Ontario, Canada
$243M 891,843 Reduced
UBER icon
1382
Uber
UBER
$200B
Wellington Management Group
1382
Wellington Management Group
Massachusetts
$243M 5,433,108 Reduced
ETSY icon
1383
Etsy
ETSY
$5.84B
Renaissance Technologies
1383
Renaissance Technologies
New York
$243M 1,170,004 Reduced
AAPL icon
1384
Apple
AAPL
$3.47T
KFS
1384
Kelly Financial Services
Massachusetts
$243M 1,719,283 Reduced
TCOM icon
1385
Trip.com Group
TCOM
$48.3B
Sands Capital Management
1385
Sands Capital Management
Virginia
$243M 6,859,392 Closed
BNTX icon
1386
BioNTech
BNTX
$23.3B
GF
1386
Gates Foundation
Washington
$243M 890,000 Reduced
AMZN icon
1387
Amazon
AMZN
$2.43T
Nuveen Asset Management
1387
Nuveen Asset Management
Illinois
$243M 1,479,520 Reduced
PRAH
1388
DELISTED
PRA Health Sciences, Inc.
PRAH
GCL
1388
Glazer Capital LLC
New York
$243M 1,470,617 Closed
FTV icon
1389
Fortive
FTV
$16.5B
Capital Research Global Investors
1389
Capital Research Global Investors
California
$243M 3,442,291 Reduced
GOOG icon
1390
Alphabet (Google) Class C
GOOG
$2.92T
Bank of America
1390
Bank of America
North Carolina
$243M 1,822,320 Reduced
TER icon
1391
Teradyne
TER
$17.9B
AIM
1391
ARK Investment Management
Florida
$243M 2,222,487 Reduced
INFO
1392
DELISTED
IHS Markit Ltd. Common Shares
INFO
DKCM
1392
Davidson Kempner Capital Management
New York
$243M 2,080,468 Reduced
SNPS icon
1393
Synopsys
SNPS
$79B
JPMorgan Chase & Co
1393
JPMorgan Chase & Co
New York
$243M 809,942 Reduced
JD icon
1394
JD.com
JD
$47.7B
BlackRock
1394
BlackRock
New York
$242M 3,356,749 Reduced
CNI icon
1395
Canadian National Railway
CNI
$58.3B
MG
1395
Meritage Group
California
$242M 2,088,473 Reduced
V icon
1396
Visa
V
$659B
Ameriprise
1396
Ameriprise
Minnesota
$242M 1,087,336 Reduced
HCA icon
1397
HCA Healthcare
HCA
$94.8B
Vanguard Group
1397
Vanguard Group
Pennsylvania
$242M 997,934 Reduced
SNOW icon
1398
Snowflake
SNOW
$74.9B
DCP
1398
D1 Capital Partners
New York
$242M 800,496 Reduced
HUM icon
1399
Humana
HUM
$33.2B
BlackRock
1399
BlackRock
New York
$242M 622,043 Reduced
VRRM icon
1400
Verra Mobility
VRRM
$3.92B
PEA
1400
Platinum Equity Advisors
California
$242M 16,049,315 Reduced