JOHN BEAN TECHNOLOGIES CORP (JBT) Institutional Ownership Changes & 13F Activity

JOHN BEAN TECHNOLOGIES CORP (JBT). Institutional ownership data tracks hedge funds, asset managers, and other institutional investors based on recent SEC Form 13F filings. This page analyzes institutional buying and selling activity, new holdings, and sold-out positions among tracked filers. Notable filers include Renaissance Technologies LLC, Mairs & Power Growth Fund, First Eagle U.S. Value, Sequoia Financial Advisors, and Gardner Russo & Quinn.

Portfolio quarterNameTypeQuantityRemainingReported stock balance
Q4 2023Renaissance Technologies LLCBuy43,80050,000$4,973
Q4 2023First Eagle U.S. ValueSell-3,86767,219$6,684,930
Q4 2023Mairs & Power Growth FundSell-3,02796,927$9,639,390
Q3 2023Turtle Creek Asset ManagementBuy76,883748,166$78,662,173
Q3 2023Mairs & Power Growth FundBuy9,98599,954$10,509,164
Q3 2023First Eagle U.S. ValueBuy5,28671,086$7,473,982
Q3 2023Renaissance Technologies LLCSell-2,2006,200$652
Q2 2023Turtle Creek Asset ManagementSell-109,666671,283$81,426,628
Q2 2023First Eagle U.S. ValueBuy14,70065,800$7,981,540
Q2 2023Mairs & Power Growth FundBuy8,75589,969$10,913,240
Q1 2023Turtle Creek Asset ManagementBuy83,500780,949$85,349,916
Q1 2023First Eagle U.S. ValueBuy51,10051,100$5,584,719
Q1 2023Mairs & Power Growth FundBuy12,31181,214$8,875,878
Q4 2022Turtle Creek Asset ManagementBuy512,343697,449$63,698,017
Q4 2022Mairs & Power Growth FundBuy11,34568,903$6,292,911
Q3 2022Turtle Creek Asset ManagementBuy143,346185,106$15,919
Q3 2022Mairs & Power Growth FundBuy19,71057,558$4,950
Q2 2022Mairs & Power Growth FundBuy20,48337,848$4,179
Q2 2022Turtle Creek Asset ManagementSell-3,70041,760$4,611
Q1 2022Turtle Creek Asset ManagementBuy22,15045,460$5,386
Q1 2022Mairs & Power Growth FundBuy17,36517,365$2,057
Q4 2021Turtle Creek Asset ManagementSell-7,00023,310$3,579
Q3 2021Turtle Creek Asset ManagementBuy6,31030,310$4,260
Q2 2021Turtle Creek Asset ManagementBuy24,00024,000$3,423
Q1 2021Renaissance Technologies LLCBuy3,6008,400$1,120
Q4 2018Renaissance Technologies LLCSell-7004,800$345
Q2 2017Renaissance Technologies LLCSell-115,4005,500$539
Q1 2017Renaissance Technologies LLCBuy57,400120,900$10,633
Q2 2016Renaissance Technologies LLCSell-119,80063,500$3,887
Q1 2016Renaissance Technologies LLCSell-16,732183,300$10,340

Frequently asked questions about JBT activity

  • Which institutional owners are buying JBT?

    Institutional owners buying JBT include investors who have either initiated new positions or increased their existing holdings based on recent SEC 13F filings. The activity table above highlights which funds added shares in the latest reporting periods and how their positions changed over time.

  • What does "buy" mean in JBT activity?

    "Buy" means an investor increased their reported position in JBT compared to the prior reporting period. This reflects growing exposure to JOHN BEAN TECHNOLOGIES CORP (JBT) rather than necessarily a brand-new position (though new positions also appear as buys when prior quantity was zero).

  • Is institutional interest in JBT increasing?

    Institutional interest in JBT can be assessed by comparing the number of tracked funds adding or increasing positions versus those trimming or exiting across the periods shown. A higher number of additions typically signals increasing participation among large filers, but it should be read alongside position sizes and the full table.