Activity

Every insider trade and institutional 13F change, ranked by impact. 117,732 moves.

InsidersInstitutions
DateActorActionCompanyValueShares ΔPosition afterImpact
Q2 2026
as of
BlackRock, Inc.
13F manager
AddRoss Stores, Inc.$767.66M+3.6M
+14.85%
27,900,923
0.09% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
NewIndivior Pharmaceuticals, Inc.$767.65M+18.7M
18,709,432
0.01% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
AddTransDigm Group Inc.$763.54M+573K
+13.34%
4,871,505
0.10% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
AddRKLB
Rocket Lab Corp
Common Stock
$762.76M+7.5M
+22.69%
40,580,130
0.06% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
AddAccenture plc$758.02M+6.1M
+10.86%
62,162,363
0.12% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
AddMACOM Technology Solutions Holdings, Inc.$756.16M+2.0M
+26.42%
9,512,899
0.05% of portfolio
high
Q2 2026
as of
LPL Financial LLC
13F manager
New09290C855$751.67M+14.9M
14,922,976
0.17% of portfolio
high
Q2 2026
as of
Deutsche Bank AG
13F manager
TrimJPMORGAN CHASE & CO$-746.58M-2.3M
-22.38%
7,909,780
0.76% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
TrimS&P Global Inc.$-745.82M-1.8M
-7.09%
23,981,586
0.15% of portfolio
high
Q2 2026
as of
State Street Corporation
13F manager
TrimThe Goldman Sachs Group, Inc.$-742.67M-734K
-3.75%
18,830,464
0.57% of portfolio
high
Q2 2026
as of
State Street Corporation
13F manager
ExitDuPont de Nemours, Inc.$-740.17M-18.4M
-100.00%
high
Q2 2026
as of
Mml Investors Services, LLC
13F manager
Add464287200$736.63M+984K
+53.24%
2,831,023
4.33% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
TrimSITIME Corp$-736.46M-988K
-29.24%
2,390,065
0.03% of portfolio
high
Q2 2026
as of
State Street Corporation
13F manager
ExitHologic Inc$-735.64M-9.9M
-100.00%
high
Q2 2026
as of
Deutsche Bank AG
13F manager
TrimSandisk Corp$-730.05M-321K
-35.11%
593,382
0.39% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
AddCorebridge Financial, Inc.$726.39M+25.4M
+722224.45%
25,375,258
0.01% of portfolio
high
Q2 2026
as of
Victory Capital Management, Inc.
13F manager
AddBooking Holdings Inc$724.13M+4.1M
+2566.15%
4,220,949
0.42% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
Add464286772$721.33M+3.6M
+851.17%
3,992,437
0.01% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
TrimSanmina Corp$-718.48M-2.8M
-34.06%
5,495,109
0.02% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
AddCARRIER GLOBAL Corp$717.84M+9.8M
+17.05%
67,176,195
0.07% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
AddLumentum Hldgs Inc$717.07M+836K
+10.02%
9,179,958
0.12% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
AddNorthrop Grumman Corp$714.55M+1.4M
+13.52%
11,783,817
0.09% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
AddG6683N103$714.29M+53.5M
+17.73%
355,012,573
0.07% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
TrimEchoStar CORP$-712.64M-7.0M
-35.62%
12,689,769
0.02% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
AddAmgen Inc$711.88M+2.0M
+4.15%
49,362,016
0.27% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
TrimMoody's Corp$-710.14M-1.6M
-11.18%
12,461,878
0.08% of portfolio
high
Q2 2026
as of
Temasek Holdings (Private) Limited
13F manager
NewAlphabet Inc.$706.66M+2.0M
2,000,000
1.94% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
Exit87161C501$-696.31M-13.9M
-100.00%
high
Q2 2026
as of
Ontario Teachers Pension Plan Board
13F manager
NewiShares MSCI UAE ETF$692.59M+6.3M
6,350,000
4.40% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
TrimANET
Arista Networks, Inc.
Common Stock
$-690.58M-4.1M
-4.26%
91,383,843
0.23% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
TrimSS&C TECHNOLOGIES HOLDINGS, INC.$-690.22M-11.1M
-39.80%
16,824,938
0.02% of portfolio
high
Q2 2026
as of
LPL Financial LLC
13F manager
Add14020G101$684.26M+14.5M
+31.92%
59,907,998
0.64% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
AddChipotle Mexican Grill Inc$683.45M+20.1M
+18.30%
129,925,735
0.07% of portfolio
high
Q2 2026
as of
Mitsubishi UFJ Asset Management Co., Ltd.
13F manager
AddAlphabet Inc.$677.18M+1.9M
+11.97%
17,724,321
3.55% of portfolio
high
Q2 2026
as of
Deutsche Bank AG
13F manager
AddD18190898$675.00M+20.0M
+35.23%
76,744,247
0.76% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
AddEquinix Inc$674.98M+648K
+6.00%
11,444,924
0.18% of portfolio
high
Q2 2026
as of
LPL Financial LLC
13F manager
Add46432F842$673.61M+7.0M
+17.10%
47,763,542
1.04% of portfolio
high
Q2 2026
as of
State Street Corporation
13F manager
AddMeta Platforms Inc$671.79M+1.2M
+1.31%
92,033,963
1.56% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
TrimBank of New York Mellon Corp/The$-671.63M-4.6M
-7.47%
57,541,743
0.13% of portfolio
high
Q2 2026
as of
State Street Corporation
13F manager
AddRTX Corp$670.26M+3.5M
+3.84%
95,417,318
0.54% of portfolio
high
Q2 2026
as of
Deutsche Bank AG
13F manager
AddTesla Inc$665.02M+1.6M
+19.71%
9,603,163
1.18% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
TrimLam Research Corp$-663.83M-1.5M
-1.14%
132,727,776
0.86% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
AddXcel Energy Inc$660.63M+8.2M
+15.62%
60,898,333
0.07% of portfolio
high
Q2 2026
as of
Greenwoods Asset Management Hong Kong Ltd.
13F manager
ExitMeta Platforms Inc$-658.05M-997K
-100.00%
high
Q2 2026
as of
BlackRock, Inc.
13F manager
AddThe Goldman Sachs Group, Inc.$656.19M+649K
+2.79%
23,900,376
0.36% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
ExitG4766E116$-654.11M-18.2M
-100.00%
high
Q2 2026
as of
BlackRock, Inc.
13F manager
AddAmerican Electric Power Co Inc$651.64M+4.8M
+10.30%
51,024,057
0.10% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
NewVersant Media Group, Inc.$651.37M+18.1M
18,088,529
<0.01% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
AddFTAI Aviation Ltd$643.46M+2.4M
+38.50%
8,557,163
0.03% of portfolio
high
Q2 2026
as of
BlackRock, Inc.
13F manager
AddONEOK Inc$641.51M+7.4M
+12.91%
64,537,467
0.08% of portfolio
high
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