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2,396 hedge funds and large institutions have $81.7B invested in AT&T in 2024 Q2 according to their latest regulatory filings, with 158 funds opening new positions, 936 increasing their positions, 1,062 reducing their positions, and 143 closing their positions.

New
Increased
Maintained
Reduced
Closed

66% more call options, than puts

Call options by funds: $1.2B | Put options by funds: $723M

32% more funds holding in top 10

Funds holding in top 10: 3850 (+12)

11% more capital invested

Capital invested by funds: $73.6B → $81.7B (+$8.02B)

10% more first-time investments, than exits

New positions opened: 158 | Existing positions closed: 143

1.39% more ownership

Funds ownership: 58.25%59.63% (+1.4%)

1% less funds holding

Funds holding: 2,4162,396 (-20)

12% less repeat investments, than reductions

Existing positions increased: 936 | Existing positions reduced: 1,062

Holders
2,396
Holders Change
-20
Holders Change %
-0.83%
% of All Funds
34.6%
Holding in Top 10
50
Holding in Top 10 Change
+12
Holding in Top 10 Change %
+31.58%
% of All Funds
0.72%
New
158
Increased
936
Reduced
1,062
Closed
143
Calls
$1.2B
Puts
$723M
Net Calls
+$474M
Net Calls Change
+$234M
Name Holding Trade Value Shares
Change
Change in
Stake
C
2126
Covestor
United Kingdom
$144K +$85.2K +4,897 +183%
CYG
2127
Clean Yield Group
Vermont
$144K -$12.8K -737 -9%
NMM
2128
Naples Money Management
Florida
$142K +$1.53K +88 +1%
OWA
2129
Opal Wealth Advisors
New York
$140K +$128K +7,339 New
MMG
2130
Monetary Management Group
Missouri
$140K
HFM
2131
Hartford Financial Management
Connecticut
$138K -$8.59K -494 -6%
CPR
2132
CSU Producer Resources
Ohio
$138K
BWP
2133
Baldwin Wealth Partners
Massachusetts
$134K +$6.52K +375 +6%
JAM
2134
JCIC Asset Management
Ontario, Canada
$134K -$10.8K -620 -8%
IBOK
2135
Independence Bank of Kentucky
Kentucky
$133K +$12.2K +700 +11%
HGA
2136
Hobbs Group Advisors
South Carolina
$133K +$121K +6,941 New
FMP
2137
Financial Management Professionals
Texas
$132K +$1.11K +64 +0.9%
MAM
2138
Meeder Asset Management
Ohio
$132K -$298K -17,146 -71%
CB
2139
Chris Bulman
California
$131K +$120K +6,877 New
TFGT
2140
TS Financial Group (TSFG)
Illinois
$131K -$11.6K -666 -9%
SOW
2141
State of Wyoming
Wyoming
$129K +$17.2K +991 +17%
BCFD
2142
Boit C.F. David
$128K
TIM
2143
Thompson Investment Management
Wisconsin
$127K -$3.48K -200 -3%
SL
2144
Salomon & Ludwin
Virginia
$127K -$154K -8,833 -57%
S
2145
Sachetta
Massachusetts
$126K +$27K +1,554 +30%
NI
2146
NCP Inc
California
$125K +$8.69K +500 +8%
AT
2147
Arlington Trust
Alabama
$124K
BCA
2148
Bray Capital Advisors
Florida
$123K
FA
2149
Financial Avengers
California
$122K +$5.23K +301 +5%
LFA
2150
LGT Financial Advisors
Texas
$121K -$124K -7,124 -53%

T Hedge Fund Activity: Q2 2024 in Review

2,396 of the 6,925 institutional investors tracked by Wall St. Rank reported a position in AT&T (T) for Q2 2024, worth a combined $81.7B — up 11% from $73.6B a quarter earlier.

Buyers outnumbered sellers: 158 funds opened new T positions and 143 closed out — a net gain of 15 holders — while 936 added to existing stakes and 1,062 trimmed.

The largest buyer was Capital World Investors, opening a new position worth an estimated $725M. The largest seller was Point72 Asset Management, cutting an estimated $362M.

  • 2,396 institutional investors held AT&T (T) as of Q2 2024, down from 2,416 in Q1 2024.
  • Funds reported $81.7B of AT&T stock for Q2 2024, up 11% quarter-over-quarter.
  • 158 funds opened new AT&T positions in Q2 2024 and 143 closed out, a net change of +15 holders.
  • The largest AT&T buyer in Q2 2024 was Capital World Investors, an estimated $725M added.
  • The largest AT&T seller in Q2 2024 was Point72 Asset Management, an estimated $362M sold.

Based on aggregated 13F filings for Q2 2024.