Most sold stocks

Discover which stocks institutional investors trimmed or exited the most over Q3 2026 versus the prior calendar quarter in our filings. Notable reductions at the top of this list include NVIDIA CORP (NVDA), APPLE INC (AAPL), AMAZON.COM INC (AMZN), BANK OF AMERICA CORP (BAC). These rankings aggregate SEC 13F filings from all institutional investors in our database.

Net share decreases

Top symbols by net quarter-over-quarter share change (decreases).

Most sold stocks

Net quarter-over-quarter share reductions across all institutional filers.

Symbol Name Net shares Net value New Added Trimmed Sold out Holding now
NVDA NVIDIA CORP -15,343,251,530 -$2547.8B 42 616 478 4537 1198
AAPL APPLE INC -8,916,026,754 -$2150.1B 24 513 677 4686 1309
AMZN AMAZON.COM INC -6,565,456,643 -$1307.6B 34 568 515 4713 1211
BAC BANK OF AMERICA CORP -5,107,116,377 -$238.1B 54 327 250 2729 728
MSFT MICROSOFT CORP -5,067,682,276 -$1793.6B 26 677 501 4837 1271
T AT&T INC -4,397,781,926 -$124.7B 17 213 240 2388 525
GOOGL ALPHABET INC-CL A -4,323,314,574 -$1179.0B 50 461 538 4359 1159
PFE PFIZER INC -3,628,261,683 -$98.3B 19 225 237 2363 548
AVGO BROADCOM INC -3,420,874,643 -$1000.7B 58 446 379 3644 954
NFLX NETFLIX INC -3,189,284,077 -$292.7B 19 300 265 2905 641
INTC INTEL CORP -3,161,063,845 -$128.9B 225 187 242 2049 710
KO COCA-COLA CO/THE -3,059,365,748 -$226.4B 35 319 290 2788 747
G4124C109 GRAB HOLDINGS LIMITED -2,970,152,733 -$10.4B 4 14 14 446 46
GOOG ALPHABET INC-CL C -2,963,951,108 -$807.3B 38 369 491 3988 1036
CMCSA COMCAST CORP-CLASS A -2,947,169,117 -$82.1B 29 104 148 1715 311
CSCO CISCO SYSTEMS INC -2,916,339,362 -$214.6B 101 260 398 2919 841
G6683N103 NU HLDGS LTD -2,707,723,811 -$38.2B 13 33 35 798 102
VZ VERIZON COMMUNICATIONS INC -2,680,958,425 -$130.8B 26 284 266 2570 631
WMT WALMART INC -2,612,796,349 -$316.0B 23 402 381 3458 923
XOM EXXON MOBIL CORP -2,608,374,849 -$427.1B 14 292 399 3878 786
F FORD MOTOR CO -2,461,052,614 -$27.6B 20 119 115 1373 312
VEA VANGUARD FTSE DEVELOPED ETF -2,224,339,132 -$127.2B 40 336 229 2201 681
WFC WELLS FARGO & CO -2,155,205,737 -$167.4B 26 203 224 2231 556
PCG P G & E CORP -2,073,012,550 -$35.1B 21 43 37 788 122
JPM JPMORGAN CHASE & CO -1,889,875,702 -$527.4B 27 477 453 3890 1056
MRK MERCK & CO. INC. -1,822,680,967 -$210.0B 33 339 304 2920 788
WBD WARNER BROS DISCOVERY INC -1,725,790,797 -$46.5B 13 58 73 1105 194
KVUE KENVUE INC -1,710,577,336 -$28.3B 15 49 42 872 136
HBAN HUNTINGTON BANCSHARES INC -1,695,501,368 -$25.3B 15 65 66 952 192
JNJ JOHNSON & JOHNSON -1,657,266,870 -$390.4B 34 442 420 3574 1007
AUR AURORA INNOVATION INC -1,629,548,017 -$5.5B 10 17 7 375 45
UBER UBER TECHNOLOGIES INC -1,610,301,913 -$113.7B 30 165 155 2017 399
NEE NEXTERA ENERGY INC -1,566,323,133 -$139.7B 23 279 224 2359 617
IEMG ISHARES CORE MSCI EMERGING -1,561,339,797 -$105.7B 47 200 220 1763 528
META META PLATFORMS INC-CLASS A -1,560,416,701 -$852.7B 29 510 365 3986 993
CNQ CANADIAN NATURAL RESOURCES -1,546,340,720 -$73.4B 17 36 27 641 101
IEFA ISHARES CORE MSCI EAFE ETF -1,529,425,997 -$134.8B 28 274 176 1837 547
PG PROCTER & GAMBLE CO/THE -1,524,377,238 -$211.4B 30 361 346 3108 846
TSLA TESLA INC -1,496,049,532 -$538.7B 43 423 281 3254 868
BMY BRISTOL-MYERS SQUIBB CO -1,483,217,041 -$85.4B 25 199 194 2013 491
GOVT ISHARES US TREASURY BOND ETF -1,476,766,950 -$33.6B 25 101 36 756 184
BAM BROOKFIELD ASSET MGMT-A -1,471,459,545 -$65.0B 13 15 34 547 81
BN BROOKFIELD CORP -1,436,911,430 -$57.5B 16 42 42 773 139
KMI KINDER MORGAN INC -1,423,780,321 -$46.6B 15 137 113 1468 328
V VISA INC-CLASS A SHARES -1,409,047,669 -$402.0B 49 401 356 3479 902
CVX CHEVRON CORP -1,387,623,506 -$278.0B 22 365 377 3368 861
CSX CSX CORP -1,350,814,339 -$51.0B 34 131 118 1504 368
VWO VANGUARD FTSE EMERGING MARKE -1,350,154,291 -$67.2B 33 266 219 1943 594
CPNG COUPANG INC -1,347,280,772 -$24.8B 5 14 20 542 50
SCHF SCHWAB INTL EQUITY ETF -1,319,047,502 -$31.4B 24 164 135 1206 385