MCD icon

McDonald's

2,206 hedge funds and large institutions have $92.5B invested in McDonald's in 2020 Q2 according to their latest regulatory filings, with 176 funds opening new positions, 943 increasing their positions, 807 reducing their positions, and 107 closing their positions.

New
Increased
Maintained
Reduced
Closed
Holders
2,206
Holders Change
+48
Holders Change %
+2.22%
% of All Funds
45.34%
Holding in Top 10
57
Holding in Top 10 Change
-16
Holding in Top 10 Change %
-21.92%
% of All Funds
1.17%
New
176
Increased
943
Reduced
807
Closed
107
Calls
$1.65B
Puts
$1.7B
Net Calls
-$43.3M
Net Calls Change
+$413M
Name Holding Trade Value Shares
Change
Shares
Change %
CFN
2126
Cordasco Financial Network
Florida
$77K +$18.4K +100 +31%
HWM
2127
Holloway Wealth Management
Florida
$74K -$66K
AA
2128
AlphaCentric Advisors
Puerto Rico
$74K +$74K +399 New
LFG
2129
Larson Financial Group
Missouri
$73K -$21K -114 -22%
JSC
2130
Jackson Square Capital
California
$73K
MAM
2131
Marquette Asset Management
Minnesota
$72K
CFD
2132
Creative Financial Designs
Indiana
$71K +$71K +387 New
AWM
2133
AllSquare Wealth Management
New York
$69K
EARNEST Partners
2134
EARNEST Partners
Georgia
$66K
CTB
2135
Country Trust Bank
Illinois
$64K
CA
2136
Crewe Advisors
Utah
$61K
AW
2137
Avion Wealth
Texas
$59K
HL
2138
Harding Loevner
New Jersey
$58K
AJ
2139
Ashburton (Jersey)
Jersey
$57K -$61.6K -335 -52%
IWP
2140
IAG Wealth Partners
Wisconsin
$56K
TVWM
2141
Tower View Wealth Management
Wisconsin
$56K +$368 +2 +0.7%
DI
2142
Disciplined Investments
Oklahoma
$55K
SFG
2143
Sowa Financial Group
Rhode Island
$52K
EWM
2144
Endurance Wealth Management
Rhode Island
$51K
JWM
2145
Janiczek Wealth Management
Colorado
$50K +$27.2K +148 +119%
HFM
2146
Harvest Fund Management
China
$48K -$84.7K -464 -64%
PCFFS
2147
Pacific Center for Financial Services
California
$48K
RCA
2148
Reitz Capital Advisors
Michigan
$42K +$42K +225 New
GWMIA
2149
Global Wealth Management Investment Advisory
Florida
$40K
HIM
2150
Hillsdale Investment Management
Ontario, Canada
$39K -$68.7K -370 -64%