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iCaiFu · Intelligent Wealth · 2026 · v59921f1

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Most Sold by Institutions

Largest net reductions across tracked 13F filers, latest quarter vs. prior.

#TickerIssuerNet Flow
1MSFTMicrosoft Corp−$70.4B
2NVDANVIDIA Corp−$21.9B
3AAPLAPPLE INC−$21.0B
4METAMeta Platforms Inc−$15.7B
5TSLATesla Inc−$15.0B
6LLYEli Lilly & Co−$14.3B
7AXPAMERICAN EXPRESS CO−$14.2B
8AMZNAmazon.com Inc−$10.4B
9VVISA INC−$9.1B
10ORCLORACLE CORP−$8.4B
11APPAPPLOVIN CORP−$7.5B
12MAMASTERCARD INCORPORATED−$6.8B
13BSXBOSTON SCIENTIFIC CORP−$6.1B
14WFCWELLS FARGO & CO−$5.6B
15CRMSalesforce Inc−$5.5B
16INTUINTUIT−$5.4B
17JPMJPMORGAN CHASE & CO−$5.2B
18PLTRPalantir Technologies Inc−$5.2B
19UNHUNITEDHEALTH GROUP INC−$5.2B
20BKNGBOOKING HOLDINGS INC−$4.8B
21NOWSERVICENOW INC−$4.7B
22ACNACCENTURE PLC IRELAND−$4.6B
23QCOMQUALCOMM INC−$4.5B
24AVGOBroadcom Inc−$4.5B
25GOOGLALPHABET INC−$4.1B
26STTState Street SPDR S&P 500 ETF Trust−$3.8B
27CEGCONSTELLATION ENERGY CORP−$3.7B
28ADBEADOBE INC−$3.6B
29KKRSKKR & CO INC−$3.6B
30MSMORGAN STANLEY−$3.3B
31ISRGIntuitive Surgical Inc−$3.3B
32AMDAdvanced Micro Devices Inc−$3.3B
33DASHDoorDash Inc−$3.1B
34UBERUBER TECHNOLOGIES INC−$3.0B
35HOODRobinhood Markets Inc−$2.6B
36PYPLPAYPAL HLDGS INC−$2.5B
37ABBVABBVIE INC−$2.2B
38PODDINSULET CORP−$2.1B
39TMOTHERMO FISHER SCIENTIFIC INC−$2.0B
40FSLRFIRST SOLAR INC−$2.0B
41ALABASTERA LABS INC−$1.8B
42AONAON PLC−$1.8B
43GLDIUBS GROUP AG-REG−$1.8B
44SPGIS&P GLOBAL INC−$1.8B
45DKNGDraftKings Inc−$1.7B
46ADSKAutodesk Inc−$1.6B
47GINDGOLDMAN SACHS GROUP INC−$1.6B
48EXEEXPAND ENERGY CORPORATION−$1.5B
49SHOPShopify Inc−$1.4B
50CRHCRH PLC−$1.4B
51SNPSSynopsys Inc−$1.3B
52VEEVVEEVA SYS INC−$1.3B
53WDAYWORKDAY INC−$1.3B
54AFRMAFFIRM HLDGS INC−$1.3B
55MDBMONGODB INC−$1.2B
56IQVIQVIA HLDGS INC−$1.2B
57CBRECBRE GROUP INC−$1.2B
58ARESARES MANAGEMENT CORPORATION−$1.2B
59APHAMPHENOL CORP−$1.2B
60ELVELEVANCE HEALTH INC FORMERLY−$1.1B
61PDDPDD HOLDINGS INC−$1.1B
62DDOGDatadog Inc−$1.1B
63TYLTYLER TECHNOLOGIES INC−$1.1B
64BPYPMBROOKFIELD CORP−$1.1B
65CVSCVS HEALTH CORP−$1.1B
66ARGXARGENX SE−$1.0B
67VRSKVERISK ANALYTICS INC−$1.0B
68MDTMEDTRONIC PLC−$977M
69GEGE Aerospace−$976M
70LVSLAS VEGAS SANDS CORP−$902M
71GEHCGE HEALTHCARE TECHNOLOGIES I−$892M
72ZSZSCALER INC−$887M
73FICOFAIR ISAAC CORP−$884M
74CSGPCOSTAR GROUP INC−$879M
75RTXRTX CORPORATION−$835M
76AXONAXON ENTERPRISE INC−$834M
77TSCOTRACTOR SUPPLY CO−$823M
78STZCONSTELLATION BRANDS INC−$821M
79TDGTRANSDIGM GROUP INC−$809M
80POOLPOOL CORP−$803M
81HUMHUMANA INC−$795M
82ABTABBOTT LABORATORIES−$795M
83MKCMCCORMICK & CO INC−$780M
84COINCoinbase Global Inc−$759M
85MASIMASIMO CORP−$732M
86NKENIKE INC−$711M
87ADPAUTOMATIC DATA PROCESSING IN−$707M
88NXPINXP SEMICONDUCTORS N V−$700M
89BNHNASDAQ INC−$691M
90VSTVISTRA CORP−$677M
91ALNYALNYLAM PHARMACEUTICALS INC−$665M
92BDXBECTON DICKINSON & CO−$663M
93ZTSZOETIS INC−$643M
94CHWYCHEWY INC−$642M
95BABAAlibaba Group Holding Ltd−$635M
96KDKYNDRYL HLDGS INC−$611M
97SYFSYNCHRONY FINANCIAL−$596M
98EQTEQT CORP−$589M
99FISVFISERV INC−$568M
100GRABGRAB HOLDINGS LIMITED−$568M

Aggregated across the latest filing of each tracked filer vs. its prior quarter; net change ranked by dollar value (ticker-mapped holdings only).