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RHUMBLINE ADVISERS
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Rhumbline Advisers
Quarter-over-quarter position changes
3,954 changes
All actions
All impact
Action
Company
Quarter
↓
Δ shares
Δ %
Held after
Flow
Impact
Trimmed
464287689
Mar 31, 2026
-1,567,811
-100%
4,310
$581.16M
high
Trimmed
Apple Inc.
Mar 31, 2026
-714,681
-2.7%
25,818,857
$181.38M
high
Added
MARSH & MCLENNAN COMPANIES, INC.
Mar 31, 2026
+900,708
>1000%
902,114
$156.23M
high
Trimmed
MICROSOFT CORP
Mar 31, 2026
-331,516
-2.5%
12,999,925
$122.72M
high
Trimmed
Meta Platforms Inc
Mar 31, 2026
-139,878
-3.5%
3,836,760
$80.03M
high
Trimmed
NVIDIA Corp
Mar 31, 2026
-405,490
-1.0%
42,003,171
$70.72M
high
Trimmed
Alphabet Inc.
Mar 31, 2026
-211,282
-2.0%
10,138,654
$60.76M
high
Added
Vertiv Holdings Co
Mar 31, 2026
+236,254
+50%
708,646
$59.20M
high
Exited
Everpure, Inc.
Mar 31, 2026
-876,489
-100%
0
$58.73M
high
Trimmed
CIENA CORP
Mar 31, 2026
-137,174
-36%
246,308
$53.26M
high
Trimmed
Amazon.com Inc
Mar 31, 2026
-199,232
-1.2%
16,587,340
$41.49M
medium
Trimmed
LUMENTUM HLDGS INC
Mar 31, 2026
-57,707
-32%
124,871
$40.55M
medium
Exited
Amcor PLC
Mar 31, 2026
-4,489,118
-100%
0
$37.44M
medium
New
Pinnacle Financial Partners, Inc.
Mar 31, 2026
+420,430
New
420,430
$36.22M
medium
New
G0250X149
Mar 31, 2026
+896,676
New
896,676
$35.65M
medium
Trimmed
Alphabet Inc.
Mar 31, 2026
-123,927
-1.5%
8,170,335
$35.55M
medium
Trimmed
JOHNSON & JOHNSON
Mar 31, 2026
-144,855
-3.6%
3,829,150
$35.41M
medium
Added
Palo Alto Networks Inc
Mar 31, 2026
+203,948
+17%
1,389,174
$32.70M
medium
Trimmed
EXXON MOBIL CORP
Mar 31, 2026
-171,104
-2.4%
6,928,895
$29.03M
medium
Exited
COMERICA INC
CMA
Mar 31, 2026
-333,400
-100%
0
$28.98M
medium
Trimmed
ELI LILLY & Co
Mar 31, 2026
-30,862
-2.2%
1,358,698
$28.39M
medium
Trimmed
JPMORGAN CHASE & CO
Mar 31, 2026
-95,710
-2.0%
4,613,123
$28.15M
medium
Exited
Cadence Bank
Mar 31, 2026
-572,776
-100%
0
$24.54M
medium
Exited
35909D109
Mar 31, 2026
-631,812
-100%
0
$24.05M
medium
Trimmed
CHEVRON CORP
Mar 31, 2026
-111,721
-3.5%
3,097,960
$23.12M
medium
Trimmed
COHERENT CORP
Mar 31, 2026
-90,534
-23%
311,572
$21.57M
medium
Trimmed
Merck & Co., Inc.
Mar 31, 2026
-178,839
-4.5%
3,797,430
$21.51M
medium
Trimmed
Tesla Inc
Mar 31, 2026
-53,764
-1.1%
4,844,884
$19.99M
medium
Exited
DAYFORCE, INC.
Mar 31, 2026
-287,655
-100%
0
$19.89M
medium
Exited
Pinnacle Financial Partners, Inc.
Mar 31, 2026
-204,108
-100%
0
$19.47M
medium
Trimmed
ConocoPhillips
Mar 31, 2026
-143,366
-6.4%
2,097,281
$18.92M
medium
Added
Waters Corp
Mar 31, 2026
+62,852
+55%
178,037
$18.72M
medium
Exited
87161C501
Mar 31, 2026
-356,934
-100%
0
$17.86M
medium
Exited
Exact Sciences Corp.
Mar 31, 2026
-173,269
-100%
0
$17.60M
medium
Added
FIFTH THIRD BANCORP
Mar 31, 2026
+374,899
+29%
1,649,104
$17.42M
medium
New
Piper Sandler Cos
Mar 31, 2026
+223,993
New
223,993
$17.15M
medium
Trimmed
Northrop Grumman Corp
Mar 31, 2026
-23,520
-9.1%
236,146
$16.05M
medium
Trimmed
PROCTER & GAMBLE Co
Mar 31, 2026
-110,979
-3.0%
3,610,949
$16.03M
medium
Exited
Piper Sandler Cos
Mar 31, 2026
-46,895
-100%
0
$15.93M
medium
Added
Broadcom Inc.
Mar 31, 2026
+51,126
+0.6%
8,207,022
$15.82M
medium
Trimmed
MICRON TECHNOLOGY INC
Mar 31, 2026
-46,696
-2.4%
1,903,681
$15.78M
medium
Trimmed
COCA COLA CO
Mar 31, 2026
-199,641
-2.8%
6,891,399
$15.18M
medium
Added
American Healthcare REIT, Inc.
Mar 31, 2026
+317,978
+139%
546,835
$15.00M
medium
Trimmed
Welltower, Inc.
Mar 31, 2026
-74,707
-5.6%
1,261,752
$14.77M
medium
Trimmed
COSTCO WHOLESALE CORP /NEW
Mar 31, 2026
-14,803
-1.8%
816,202
$14.75M
medium
Trimmed
AbbVie Inc.
Mar 31, 2026
-65,138
-2.2%
2,897,983
$14.17M
medium
Trimmed
Visa Inc
Mar 31, 2026
-46,656
-1.5%
3,153,782
$14.10M
medium
New
Versant Media Group, Inc.
Mar 31, 2026
+361,319
New
361,319
$13.38M
medium
Trimmed
UNITEDHEALTH GROUP INC
Mar 31, 2026
-48,773
-3.2%
1,458,286
$13.20M
medium
Trimmed
Quanta Services Inc
Mar 31, 2026
-23,669
-7.2%
303,766
$12.99M
medium
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