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Boston Partners
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Boston Partners
Quarter-over-quarter position changes
849 changes
All actions
All impact
Action
Company
Quarter
↓
Δ shares
Δ %
Held after
Flow
Impact
New
Copart Inc
Mar 31, 2026
+3,204,135
New
3,204,135
$106.38M
high
Exited
DNOW Inc.
Mar 31, 2026
-7,859,416
-100%
0
$104.17M
high
Added
Aon plc
Mar 31, 2026
+320,025
+20%
1,955,032
$103.30M
high
Added
Amazon.com Inc
Mar 31, 2026
+493,306
+10.0%
5,449,163
$102.79M
high
Added
United Rentals Inc
Mar 31, 2026
+140,633
+18%
914,980
$102.49M
high
Added
Morgan Stanley
Mar 31, 2026
+622,132
+16%
4,429,180
$102.44M
high
Trimmed
496902404
Mar 31, 2026
-3,219,011
-8.5%
34,849,647
$102.28M
high
Trimmed
Voya Financial, Inc.
Mar 31, 2026
-1,480,268
-42%
2,077,013
$101.13M
high
Trimmed
TechnipFMC plc
Mar 31, 2026
-1,452,994
-15%
8,283,352
$100.45M
high
Added
29446Y502
Mar 31, 2026
+5,001,925
+93%
10,364,451
$98.33M
high
Trimmed
L6388F110
Mar 31, 2026
-1,295,027
-81%
308,703
$97.05M
high
New
Cal-Maine Foods Inc
Mar 31, 2026
+1,214,077
New
1,214,077
$96.09M
high
Added
15135U109
Mar 31, 2026
+3,459,710
+26%
16,874,972
$91.91M
high
New
Ultra Clean Holdings Inc
Mar 31, 2026
+1,468,878
New
1,468,878
$91.40M
high
Added
59151K108
Mar 31, 2026
+1,531,965
+128%
2,728,192
$91.21M
high
Added
Cencora Inc
Mar 31, 2026
+286,281
+6.8%
4,482,817
$90.04M
high
Trimmed
Philip Morris International Inc.
Mar 31, 2026
-542,506
-8.6%
5,780,564
$89.46M
high
Exited
Lamb Weston Holdings, Inc.
Mar 31, 2026
-2,042,216
-100%
0
$85.55M
high
Added
Uber Technologies, Inc
Mar 31, 2026
+1,188,452
+13%
10,262,100
$85.49M
high
Exited
TRINET GROUP, INC.
Mar 31, 2026
-1,441,715
-100%
0
$85.26M
high
Trimmed
67077M108
Mar 31, 2026
-833,700
-28%
2,133,479
$84.60M
high
Trimmed
CH Robinson Worldwide Inc
Mar 31, 2026
-508,536
-16%
2,766,323
$84.50M
high
Trimmed
CenterPoint Energy Inc
Mar 31, 2026
-1,939,737
-14%
12,066,789
$83.77M
high
New
EASTMAN CHEMICAL CO
Mar 31, 2026
+1,076,793
New
1,076,793
$82.14M
high
Added
BRINKS CO
Mar 31, 2026
+772,509
+138%
1,331,522
$80.04M
high
Trimmed
Primo Brands Corp
Mar 31, 2026
-4,190,999
-79%
1,141,522
$78.84M
high
Added
SCHWAB CHARLES CORP
Mar 31, 2026
+828,348
+18%
5,486,614
$77.85M
high
Added
ZEBRA TECHNOLOGIES CORP
Mar 31, 2026
+367,379
+33%
1,470,774
$76.80M
high
Trimmed
EXPEDITORS INTERNATIONAL OF WASHINGTON INC
Mar 31, 2026
-535,383
-15%
2,935,316
$76.69M
high
Trimmed
EVEREST GROUP, LTD.
Mar 31, 2026
-232,952
-31%
508,572
$76.14M
high
Added
XCEL ENERGY INC
Mar 31, 2026
+943,821
+47%
2,968,362
$74.98M
high
Trimmed
MASCO CORP /DE
Mar 31, 2026
-1,239,223
-22%
4,492,021
$74.81M
high
Trimmed
Evercore Inc
Mar 31, 2026
-244,186
-30%
580,174
$72.90M
high
Trimmed
Academy Sports & Outdoors, Inc.
Mar 31, 2026
-1,239,091
-96%
54,117
$69.95M
high
Added
WELLS FARGO & COMPANY/MN
Mar 31, 2026
+875,681
+9.1%
10,481,896
$69.76M
high
Trimmed
RANGE RESOURCES CORP
Mar 31, 2026
-1,480,258
-11%
11,987,550
$66.79M
high
Trimmed
BIO-RAD LABORATORIES, INC.
Mar 31, 2026
-239,419
-97%
8,193
$66.74M
high
Trimmed
COCA COLA FEMSA SAB DE CV
KOF
Mar 31, 2026
-667,762
-40%
1,013,914
$65.14M
high
Trimmed
MCKESSON CORP
Mar 31, 2026
-74,705
-6.1%
1,155,049
$64.71M
high
Added
NRG Energy Inc
Mar 31, 2026
+438,512
+24%
2,247,326
$64.22M
high
Added
Allison Transmission Holdings Inc
Mar 31, 2026
+540,370
+23%
2,856,610
$63.26M
high
Trimmed
COCA COLA CONSOLIDATED INC
Mar 31, 2026
-319,531
-14%
2,010,112
$61.27M
high
Trimmed
ENTERGY CORP /DE
Mar 31, 2026
-534,606
-8.0%
6,122,901
$60.13M
high
Added
AMERICA MOVIL SAB DE CV
AMX
Mar 31, 2026
+2,352,705
+49%
7,188,334
$59.95M
high
Trimmed
ARROW ELECTRONICS, INC.
Mar 31, 2026
-413,043
-16%
2,167,950
$59.26M
high
New
464287622
Mar 31, 2026
+309
New
309
$58.97M
high
Added
FLEX LTD.
Mar 31, 2026
+889,183
+7.3%
12,993,140
$58.30M
high
Trimmed
CITIGROUP INC
Mar 31, 2026
-513,671
-36%
928,913
$58.27M
high
Added
NXP Semiconductors N.V.
Mar 31, 2026
+294,966
+10%
3,140,833
$58.03M
high
Trimmed
Leidos Holdings Inc
Mar 31, 2026
-362,783
-13%
2,454,639
$56.47M
high
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