Check Point Software Technologies Ltd.
Hedge Funds Holdings

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Check Point Software Technologies Ltd.‘s stocks are currently a part of 593 hedge funds’ portfolios, which represents 66.16% of the total amount of its stocks outstanding. This makes up a total of 88.72M shares of Check Point Software Technologies Ltd.. Compared to the previous quarter, the number fell by -4.86% or -4.53M shares fewer. As for the holding position changes, 29.01% (172) of current hedge fund investors increased the number of shares held, 38.62% (229) of current holders sold a part of the shares held, and 10.79% (64) closed the holdings completely. 77 hedge funds are new holders of Check Point Software Technologies Ltd. stock in Q1 2022, it is 12.98% of total holders.

Hedge funds holding Check Point Software Technologies Ltd. (Q2 2017 – Q1 2022)

Number of hedge funds
Q2 2017 575
Q3 2017 563
Q4 2017 599
Q1 2018 579
Q2 2018 555
Q3 2018 595
Q4 2018 622
Q1 2019 623
Q2 2019 617
Q3 2019 597
Q4 2019 631
Q1 2020 572
Q2 2020 568
Q3 2020 577
Q4 2020 620
Q1 2021 604
Q2 2021 593
Q3 2021 576
Q4 2021 593
Q1 2022 593

Hedge funds changes in Check Point Software Technologies Ltd. positions (Q2 2017 – Q1 2022)

Changes in positions
Q2 2017 671882083577
Q3 2017 472071824879
Q4 2017 1002091836443
Q1 2018 661942217523
Q2 2018 591872037630
Q3 2018 861682184578
Q4 2018 872062205752
Q1 2019 832012198139
Q2 2019 612052276064
Q3 2019 591952137456
Q4 2019 961812384868
Q1 2020 59173235112-7
Q2 2020 581822185852
Q3 2020 661992045058
Q4 2020 922331844566
Q1 2021 622431967330
Q2 2021 632042066555
Q3 2021 442271805867
Q4 2021 781902275840
Q1 2022 771722296451

Hedge funds changes in Check Point Software Technologies Ltd. stock options (Q2 2017 – Q1 2022)

Changes in stock options
Q2 2017 93,483,000 121,918,624
Q3 2017 60,972,000 79,960,911
Q4 2017 60,378,000 65,285,992
Q1 2018 72,310,000 62,797,000
Q2 2018 117,932,000 144,014,000
Q3 2018 92,832,000 9,135,673,000
Q4 2018 43,615,000 5,085,883,000
Q1 2019 71,528,000 120,939,000
Q2 2019 78,753,500 96,970,000
Q3 2019 60,761,000 112,912,000
Q4 2019 64,623,000 104,078,000
Q1 2020 51,678,000 119,454,000
Q2 2020 92,124,000 76,692,000
Q3 2020 93,018,972 80,535,118
Q4 2020 127,355,554 96,325,687
Q1 2021 47,447,000 63,491,944
Q2 2021 49,075,000 44,064,000
Q3 2021 38,995,000 39,514,000
Q4 2021 36,868,000 54,549,912
Q1 2022 120,591,000 66,739,000

Top 50 hedge fund holders of Check Point Software Technologies Ltd. (NASDAQ:CHKP)

Hedge fund Value Shares owned Portfolio share
MASSACHUSETTS FINANCIAL SERVICES CO /MA/ 854.84M 7.63M 0.320%
BLACKROCK INC. Larry Fink 716.09M 6.39M 0.024%
NINETY ONE UK LTD 425.59M 3.79M 1.404%
NORDEA INVESTMENT MANAGEMENT AB 370.67M 3.25M 0.600%
ACADIAN ASSET MANAGEMENT LLC 335.52M 2.99M 1.835%
BOSTON PARTNERS 278.81M 2.48M 0.408%
STATE STREET CORP 240.18M 2.14M 0.015%
LEGAL & GENERAL GROUP PLC 228.39M 2.03M 0.089%
DNB ASSET MANAGEMENT AS 205.83M 1.83M 1.587%
FMR LLC 184.12M 1.64M 0.019%
FRANKLIN RESOURCES INC 170.95M 1.52M 0.093%
CLAL INSURANCE ENTERPRISES HOLDINGS LTD 161.77M 1.44M 2.220%
FIRST TRUST ADVISORS LP 161.06M 1.43M 0.209%
DEUTSCHE BANK AG\ 156.99M 1.40M 0.095%
ALTRINSIC GLOBAL ADVISORS LLC 156.07M 1.39M 7.188%
ION ASSET MANAGEMENT LTD. 131.99M 1.17M 20.765%
GEODE CAPITAL MANAGEMENT, LLC 117.05M 1.04M 0.018%
D. E. SHAW & CO., INC. David E. Shaw 105.28M 939.90K 0.126%
TWO SIGMA ADVISERS, LP 104.15M 929.8K 0.301%
AMERIPRISE FINANCIAL INC 102.99M 919.21K 0.038%
ALLSPRING GLOBAL INVESTMENTS HOLDINGS, LLC 101.96M 910.24K 0.180%
ALYESKA INVESTMENT GROUP, L.P. 99.64M 889.55K 1.162%
THOMPSON SIEGEL & WALMSLEY LLC 97.49M 870.36K 1.701%
PENDAL GROUP LTD 97.49M 870.36K 0.949%
CREDIT SUISSE AG/ 86.47M 771.99K 0.096%
EARNEST PARTNERS LLC 84.40M 753.49K 0.567%
MIRAE ASSET GLOBAL INVESTMENTS CO., LTD. 82.58M 737.22K 0.222%
NORTHERN TRUST CORP 82.06M 732.57K 0.019%
CALIFORNIA PUBLIC EMPLOYEES RETIREMENT SYSTEM 81.62M 728.67K 0.075%
BANK OF NEW YORK MELLON CORP 71.76M 640.66K 0.017%
ARROWSTREET CAPITAL, LIMITED PARTNERSHIP 69.97M 624.61K 0.103%
SCHRODER INVESTMENT MANAGEMENT GROUP 69.09M 616.84K 0.114%
BAIN CAPITAL PUBLIC EQUITY MANAGEMENT II, LLC 68.71M 613.43K 3.647%
ETF MANAGERS GROUP, LLC 68.67M 613.06K 2.204%
DEKABANK DEUTSCHE GIROZENTRALE 63.98M 571.67K 0.189%
MORGAN STANLEY 63.73M 568.94K 0.009%
UBS ASSET MANAGEMENT AMERICAS INC 63.56M 567.46K 0.036%
ARIEL INVESTMENTS, LLC 61.91M 552.67K 0.680%
WHALE ROCK CAPITAL MANAGEMENT LLC 58.02M 517.99K 1.631%
SEI INVESTMENTS CO 54.66M 487.97K 0.122%
NINETY ONE NORTH AMERICA, INC. 54.65M 487.92K 2.623%
SPRUCEGROVE INVESTMENT MANAGEMENT LTD 53.57M 478.3K 3.072%
BARCLAYS PLC 52.38M 467.67K 0.057%
MARSHALL WACE, LLP Paul Marshall 52.26M 466.53K 0.115%
WESTWOOD GLOBAL INVESTMENTS, LLC 51.43M 459.16K 3.189%
BANK OF AMERICA CORP /DE/ 49.10M 438.33K 0.006%
RENAISSANCE TECHNOLOGIES LLC Jim Simons 48.91M 436.7K 0.069%
SWISS NATIONAL BANK 48.75M 435.2K 0.035%
ARDEVORA ASSET MANAGEMENT LLP 47.40M 423.21K 0.853%
COMPASS CAPITAL MANAGEMENT, INC 45.84M 409.26K 4.024%