STMicroelectronics N.V.
Hedge Funds Holdings

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STMicroelectronics N.V.‘s stocks are currently a part of 267 hedge funds’ portfolios, which represents 4.61% of the total amount of its stocks outstanding. This makes up a total of 42.67M shares of STMicroelectronics N.V.. Compared to the previous quarter, the number grew by 9.85% or 3.82M shares more. As for the holding position changes, 32.96% (88) of current hedge fund investors increased the number of shares held, 33.33% (89) of current holders sold a part of the shares held, and 18.73% (50) closed the holdings completely. 32 hedge funds are new holders of STMicroelectronics N.V. stock in Q2 2022, it is 11.99% of total holders.

Hedge funds holding STMicroelectronics N.V. (Q3 2017 – Q2 2022)

Number of hedge funds
Q3 2017 173
Q4 2017 213
Q1 2018 218
Q2 2018 227
Q3 2018 199
Q4 2018 182
Q1 2019 199
Q2 2019 195
Q3 2019 187
Q4 2019 213
Q1 2020 210
Q2 2020 210
Q3 2020 227
Q4 2020 265
Q1 2021 265
Q2 2021 254
Q3 2021 272
Q4 2021 316
Q1 2022 286
Q2 2022 267

Hedge funds changes in STMicroelectronics N.V. positions (Q3 2017 – Q2 2022)

Changes in positions
Q3 2017 24655233-1
Q4 2017 5853651621
Q1 2018 3971623016
Q2 2018 3770652629
Q3 2018 28586956-12
Q4 2018 34466552-15
Q1 2019 464971294
Q2 2019 42576143-8
Q3 2019 236855329
Q4 2019 5653652910
Q1 2020 45676743-12
Q2 2020 34697137-1
Q3 2020 4970692712
Q4 2020 708572308
Q1 2021 449877415
Q2 2021 2989823915
Q3 2021 44113652426
Q4 2021 68110852231
Q1 2022 39959564-7
Q2 2022 328889508

Hedge funds changes in STMicroelectronics N.V. stock options (Q3 2017 – Q2 2022)

Changes in stock options
Q3 2017 60,837,000 35,021,000
Q4 2017 23,927,000 26,710,000
Q1 2018 20,157,000 29,806,000
Q2 2018 26,024,000 17,736,000
Q3 2018 13,221,000 21,140,000
Q4 2018 12,071,000 22,684,000
Q1 2019 12,430,000 21,225,000
Q2 2019 49,903,000 23,648,000
Q3 2019 39,475,000 26,947,000
Q4 2019 30,763,428 33,720,075
Q1 2020 21,414,248 30,597,000
Q2 2020 28,698,353 37,323,000
Q3 2020 96,512,000 54,768,000
Q4 2020 620,000,170,966,000 1,985,000,098,704,000
Q1 2021 99,787,000 10,000,098,536,000
Q2 2021 65,157,000 67,209,000
Q3 2021 83,775,000 349,000,056,467,000
Q4 2021 115,620,336 92,547,000
Q1 2022 74,951,000 56,669,166
Q2 2022 57,373,000 41,813,000

Top 50 hedge fund holders of STMicroelectronics N.V. (NYSE:STM)

Hedge fund Value Shares owned Portfolio share
CAPITAL WORLD INVESTORS 272.37M 8.80M 0.061%
VAN ECK ASSOCIATES CORP 130.90M 4.23M 0.390%
BLACKROCK INC. Larry Fink 104.48M 3.37M 0.004%
GOLDMAN SACHS GROUP INC 103.33M 3.33M 0.024%
CAPITAL INTERNATIONAL INVESTORS 92.49M 2.94M 0.027%
MORGAN STANLEY 74.95M 2.42M 0.010%
GRANTHAM, MAYO, VAN OTTERLOO & CO. LLC 73.80M 2.38M 0.426%
MILLENNIUM MANAGEMENT LLC Israel Englander 72.45M 2.34M 0.043%
WOODLINE PARTNERS LP 63.46M 2.05M 0.887%
AMERICAN CENTURY COMPANIES INC 55.42M 1.79M 0.049%
POINT72 ASSET MANAGEMENT, L.P. Steven Cohen 46.32M 1.49M 0.185%
BNP PARIBAS ASSET MANAGEMENT HOLDING S.A. 44.83M 1.44M 0.177%
BALYASNY ASSET MANAGEMENT L.P. Dmitry Balyasny 37.74M 1.21M 0.116%
HOLOCENE ADVISORS, LP 33.18M 1.07M 0.212%
BANK OF AMERICA CORP /DE/ 31.57M 1.02M 0.004%
RAFFERTY ASSET MANAGEMENT, LLC 30.75M 993.87K 0.327%
RENAISSANCE TECHNOLOGIES LLC Jim Simons 26.19M 846.62K 0.037%
CLARK CAPITAL MANAGEMENT GROUP, INC. 25.37M 820.13K 0.333%
ROYAL BANK OF CANADA 24.90M 804.80K 0.008%
SQUAREPOINT OPS LLC 23.48M 759.1K 0.118%
CAPITAL FUND MANAGEMENT S.A. 23.44M 757.65K 0.184%
SQUAREPOINT OPS LLC 20.80M 672.4K 0.105%
FMR LLC 18.69M 604.18K 0.002%
CITIGROUP INC 17.79M 575.21K 0.013%
ALBAR CAPITAL LTD 17.48M 565.24K 4.183%
TWO SIGMA INVESTMENTS, LP John Overdeck 16.09M 520.10K 0.055%
KCL CAPITAL, L.P. 15.47M 500K 3.530%
BARCLAYS PLC 14.72M 475.84K 0.016%
AMERIPRISE FINANCIAL INC 14.50M 468.78K 0.005%
BNP PARIBAS ARBITRAGE, SNC 14.32M 462.83K 0.023%
CITADEL ADVISORS LLC Ken Griffin 14.04M 453.77K 0.003%
ANALOG CENTURY MANAGEMENT LP 13.45M 434.8K 7.543%
PEAK6 INVESTMENTS LLC 13.01M 420.6K 0.054%
WELLS FARGO & COMPANY/MN 11.39M 368.14K 0.004%
BANK OF NEW YORK MELLON CORP 11.00M 355.60K 0.003%
NORTHERN TRUST CORP 10.93M 353.38K 0.003%
DIMENSIONAL FUND ADVISORS LP 10.48M 338.96K 0.004%
UBS GROUP AG 9.89M 319.79K 0.004%
ACADIAN ASSET MANAGEMENT LLC 9.78M 316.57K 0.053%
SUSQUEHANNA INTERNATIONAL GROUP, LLP 9.35M 302.5K 0.002%
QUBE RESEARCH & TECHNOLOGIES LTD 8.78M 284.04K 0.052%
ENVESTNET ASSET MANAGEMENT INC 8.7M 281.19K 0.005%
JPMORGAN CHASE & CO 8.64M 279.39K 0.001%
FORCE HILL CAPITAL MANAGEMENT LP 8.63M 279.17K 3.153%
SUSQUEHANNA INTERNATIONAL GROUP, LLP 8.36M 270.41K 0.002%
D. E. SHAW & CO., INC. David E. Shaw 7.49M 242.24K 0.009%
JANE STREET GROUP, LLC 6.81M 215.56K 0.003%
CUBIST SYSTEMATIC STRATEGIES, LLC 6.80M 219.81K 0.038%
CITADEL ADVISORS LLC Ken Griffin 6.60M 213.6K 0.002%
TWIN TREE MANAGEMENT, LP 6.53M 211.15K 0.013%