New to the top 10 this weekNo changeThe top 10 by share of stake sold is the same as before this week's filings
Biggest jump vs its own historyLas Vegas Sands Corp LVS69× its usual selling, measured in shares against its past 5 yearsLargest unplanned sale, past 30 daysNvidia NVDA$300M with no disclosed planShare of stake sold, past 12 months: shares sold by officers and directors as a share of the vested shares they held at the start of the 12-month period. A high number means insiders meaningfully reduced their ownership, not just that they sold a lot of dollars.
Share of stake soldTypical company on this list (4.1%)Vs its usual: shares sold in the past 12 months compared with the company's own earlier years
| # | Company | Share of stake sold, past 12 months | Vs its usual | Sales | Planned | Sellers |
|---|---|---|---|---|---|---|
| 1 | Rigetti Computing, Inc. RGTI | 51% | About usual | $32.9M | 45% | 8 of 9 |
| 2 | e.l.f. Beauty, Inc. ELF | 51%* | Below usual | $33.5M | 54% | 7 of 15 |
| 3 | Otis Worldwide Corp OTIS | 47%* | 2.5× usual | $17.2M | 54% | 6 of 23 |
| 4 | Carvana Co. CVNA | 36%* | About usual | $274M | 89% | 12 of 13 |
| 5 | Diamondback Energy, Inc. FANG | 36%* | 8.4× usual | $170M | 28% | 10 of 19 |
| 6 | Bloom Energy Corp BE | 30%* | About usual | $165M | 59% | 11 of 15 |
| 7 | Figure Technology Solutions, Inc. FIGR | 29%* | Too new to compare | $108M | 16% | 5 of 9 |
| 8 | Rocket Lab Corp RKLB | 29%* | 4.7× usual | $683M | 93% | 11 of 13 |
| 9 | NXP Semiconductors N.V. NXPI | 27% | Below usual | $11.1M | 82% | 5 of 16 |
| 10 | CrowdStrike Holdings, Inc. CRWD | 25% | About usual | $680M | 77% | 9 of 12 |
| 11 | Micron Technology Inc MU | 25% | About usual | $374M | 85% | 12 of 19 |
| 12 | Vistra Corp. VST | 25%* | About usual | $110M | 79% | 10 of 17 |
| 13 | Vertiv Holdings Co VRT | 24%* | Below usual | $128M | 18% | 7 of 26 |
| 14 | Comfort Systems Usa Inc FIX | 24% | About usual | $185M | 0% | 12 of 18 |
| 15 | Lumentum Holdings Inc. LITE | 24% | 2.5× usual | $176M | 89% | 12 of 16 |
| 16 | Carrier Global Corp CARR | 24% | 10× usual | $750M | 0% | 1 of 21 |
| 17 | Cigna Group CI | 23% | About usual | $66.8M | 99.6% | 4 of 25 |
| 18 | Mastercard Inc MA | 23% | Below usual | $66.6M | 100% | 7 of 27 |
| 19 | CoreWeave, Inc. CRWV | 22% | Too new to compare | $2.95B | 90% | 10 of 13 |
| 20 | Dominos Pizza Inc DPZ | 20%* | About usual | $14.7M | 58% | 6 of 22 |
| 21 | Datadog, Inc. DDOG | 19%* | About usual | $818M | 81% | 15 of 17 |
| 22 | Caseys General Stores Inc CASY | 18% | 1.8× usual | $29.2M | 0% | 6 of 17 |
| 23 | Ingersoll Rand Inc. IR | 17%* | 1.5× usual | $59.5M | 83% | 7 of 17 |
| 24 | Mcdonalds Corp MCD | 16%* | 1.8× usual | $40.5M | 92% | 8 of 24 |
| 25 | Visa Inc. V | 16%* | About usual | $86.3M | 63% | 7 of 17 |
| 26 | Netflix Inc NFLX | 15%* | About usual | $402M | 95% | 8 of 18 |
| 27 | Iqvia Holdings Inc. IQV | 14%* | 4.3× usual | $51.4M | 0% | 6 of 18 |
| 28 | STERIS plc STE | 14% | Below usual | $9.8M | 13% | 7 of 19 |
| 29 | AMD AMD | 13% | About usual | $373M | 93% | 7 of 17 |
| 30 | Cloudflare, Inc. NET | 13%* | About usual | $740M | 100% | 10 of 13 |
| 31 | Figma, Inc. FIG | 13% | Too new to compare | $291M | 96% | 7 of 15 |
| 32 | D-Wave Quantum Inc. QBTS | 12%* | 4.5× usual | $110M | 58% | 7 of 12 |
| 33 | Circle Internet Group, Inc. CRCL | 11% | Too new to compare | $290M | 88% | 10 of 14 |
| 34 | AST SpaceMobile, Inc. ASTS | 11%* | 2.6× usual | $21.1M | 60% | 5 of 14 |
| 35 | Las Vegas Sands Corp LVS | 11%* | 69× usual | $332M | 0% | 6 of 11 |
| 36 | Ferguson Enterprises Inc. FERG | 11% | Too new to compare | $8.0M | 0% | 9 of 18 |
| 37 | Sandisk Corp SNDK | 10% | Too new to compare | $134M | 92% | 7 of 12 |
| 38 | Nike NKE | 9.7%* | Below usual | $7.7M | 100% | 6 of 23 |
| 39 | Snowflake Inc. SNOW | 9.5%* | About usual | $1.19B | 96% | 9 of 18 |
| 40 | Amazon AMZN | 9.5%* | Below usual | $457M | 100% | 10 of 18 |
| 41 | Corpay, Inc. CPAY | 9.2%* | 3.3× usual | $148M | 0% | 7 of 16 |
| 42 | MARA Holdings, Inc. MARA | 9.2% | About usual | $8.7M | 95% | 4 of 9 |
| 43 | Astera Labs, Inc. ALAB | 9.1% | Too new to compare | $779M | 79% | 8 of 12 |
| 44 | Revvity, Inc. RVTY | 9.1% | About usual | $6.0M | 99% | 7 of 15 |
| 45 | GameStop Corp. GME | 8.6%* | Below usual | $1.8M | 35% | 2 of 7 |
| 46 | Generac Holdings Inc. GNRC | 8.6%* | About usual | $19.4M | 68% | 4 of 16 |
| 47 | Microsoft Corp MSFT | 8.5%* | Below usual | $115M | 56% | 7 of 21 |
| 48 | Palo Alto Networks Inc PANW | 8.2% | Below usual | $133M | 80% | 8 of 15 |
| 49 | Kraft Heinz Co KHC | 8.0% | About usual | $7.0M | 94% | 3 of 25 |
| 50 | Airbnb, Inc. ABNB | 8.0%* | About usual | $1.19B | 100% | 7 of 12 |
| 51 | Tempus AI, Inc. TEM | 7.5% | Too new to compare | $221M | 93% | 11 of 15 |
| 52 | BlackRock, Inc. BLK | 6.9%* | Too new to compare | $206M | 0% | 8 of 28 |
| 53 | Workday, Inc. WDAY | 6.8% | 1.9× usual | $557M | 100% | 8 of 18 |
| 54 | DoorDash, Inc. DASH | 6.4% | Below usual | $332M | 71% | 10 of 16 |
| 55 | Apple Inc. AAPL | 6.3% | Below usual | $206M | 57% | 8 of 16 |
| 56 | Coca Cola Co KO | 6.2% | 2.7× usual | $231M | 59% | 8 of 22 |
| 57 | Everpure, Inc. P | 5.7%* | 3.4× usual | $294M | 97% | 8 of 16 |
| 58 | Plug Power Inc PLUG | 5.6% | Below usual | $900K | 100% | 2 of 15 |
| 59 | Ulta Beauty, Inc. ULTA | 5.5% | Below usual | $1.8M | 0% | 3 of 17 |
| 60 | Chime Financial, Inc. CHYM | 5.5%* | Too new to compare | $50.9M | 97% | 6 of 11 |
| 61 | Pinterest, Inc. PINS | 5.5%* | Below usual | $41.9M | 97% | 7 of 20 |
| 62 | AppLovin Corp APP | 5.4%* | Below usual | $574M | 52% | 9 of 15 |
| 63 | Jack Henry & Associates Inc JKHY | 5.2% | About usual | $3.5M | 0% | 2 of 15 |
| 64 | lululemon athletica inc. LULU | 5.1% | Below usual | $3.4M | 0% | 3 of 20 |
| 65 | Targa Resources Corp. TRGP | 4.9% | Below usual | $34.3M | 0% | 10 of 21 |
| 66 | Zoom Communications, Inc. ZM | 4.6% | About usual | $112M | 100% | 6 of 16 |
| 67 | Qnity Electronics, Inc. Q | 4.5% | Too new to compare | $970K | 0% | 5 of 17 |
| 68 | Robinhood Markets, Inc. HOOD | 4.5% | About usual | $664M | 74% | 10 of 16 |
| 69 | Medtronic plc MDT | 4.3% | About usual | $8.9M | 3% | 3 of 22 |
| 70 | Snap Inc SNAP | 4.3%* | 2.1× usual | $111M | 95% | 8 of 21 |
| 71 | Xylem Inc. XYL | 4.2% | Below usual | $2.3M | 0% | 3 of 21 |
| 72 | ServiceTitan, Inc. TTAN | 4.2% | Too new to compare | $79.4M | 86% | 5 of 10 |
| 73 | Phillips 66 PSX | 4.1% | About usual | $62.5M | 16% | 7 of 22 |
| 74 | Rivian RIVN | 4.1% | About usual | $7.6M | 99% | 5 of 11 |
| 75 | IonQ, Inc. IONQ | 3.8% | Below usual | $7.1M | 99% | 5 of 18 |
| 76 | Veralto Corp VLTO | 3.8% | Too new to compare | $3.1M | 49% | 5 of 20 |
| 77 | Block, Inc. XYZ | 3.7%* | About usual | $85.4M | 97% | 7 of 18 |
| 78 | Costco COST | 3.6% | Below usual | $16.1M | 0% | 9 of 24 |
| 79 | Nvidia NVDA | 3.6%* | Below usual | $2.07B | 25% | 12 of 21 |
| 80 | Rubrik, Inc. RBRK | 3.5% | Too new to compare | $68.9M | 85% | 5 of 12 |
| 81 | Netskope Inc NTSK | 3.5% | Too new to compare | $18.0M | 0% | 3 of 8 |
| 82 | JPMorgan Chase JPM | 3.3% | Below usual | $126M | 100% | 11 of 22 |
| 83 | NuScale Power SMR | 3.3% | Below usual | $4.8M | 43% | 7 of 18 |
| 84 | SoundHound AI SOUN | 3.3% | Below usual | $12.4M | 23% | 7 of 10 |
| 85 | Walmart Inc. WMT | 3.3% | Below usual | $69.5M | 89% | 11 of 27 |
| 86 | BigBear.ai Holdings, Inc. BBAI | 3.2% | Below usual | $662K | 0% | 3 of 11 |
| 87 | Broadcom Inc. AVGO | 3.1% | 1.6× usual | $1.17B | 75% | 8 of 14 |
| 88 | Palantir Technologies Inc. PLTR | 3.0% | Below usual | $869M | 76% | 9 of 12 |
| 89 | Affirm Holdings, Inc. AFRM | 2.9%* | About usual | $84.2M | 96% | 6 of 15 |
| 90 | Upstart Holdings, Inc. UPST | 2.9%* | Below usual | $7.5M | 16% | 5 of 13 |
| 91 | Boeing Co BA | 2.8% | About usual | $5.3M | 0% | 3 of 25 |
| 92 | Hilton Worldwide Holdings Inc. HLT | 2.8% | About usual | $38.7M | 0% | 3 of 15 |
| 93 | Cboe Global Markets, Inc. CBOE | 2.7% | Below usual | $2.3M | 30% | 4 of 25 |
| 94 | Camden Property Trust CPT | 2.5%* | Below usual | $9.6M | 0% | 8 of 15 |
| 95 | StubHub Holdings, Inc. STUB | 2.5% | Too new to compare | $11.3M | 41% | 4 of 11 |
| 96 | Cava Group, Inc. CAVA | 2.4% | Too new to compare | $15.2M | 0% | 7 of 17 |
| 97 | Roblox Corp RBLX | 2.3% | Below usual | $106M | 46% | 10 of 16 |
| 98 | Dell Technologies Inc. DELL | 2.2% | Below usual | $1.18B | 2% | 12 of 17 |
| 99 | Deckers Outdoor Corp DECK | 2.0%* | Below usual | $1.2M | 10% | 4 of 17 |
| 100 | Ares Management Corp ARES | 1.9%* | Below usual | $91.5M | 100% | 2 of 14 |
| 101 | Walt Disney Co DIS | 1.7% | Below usual | $2.1M | 82% | 3 of 19 |
| 102 | Bunge Global SA BG | 1.7% | Too new to compare | $2.7M | 0% | 2 of 19 |
| 103 | PepsiCo PEP | 1.6% | Below usual | $6.2M | 0% | 3 of 25 |
| 104 | Fox Corp FOXA | 1.5% | 2.4× usual | $132M | 70% | 6 of 11 |
| 105 | Smurfit Westrock plc SW | 1.4% | Too new to compare | $3.4M | 0% | 3 of 20 |
| 106 | Atlassian Corp TEAM | 1.4% | Below usual | $202M | 95% | 9 of 18 |
| 107 | Coinbase Global, Inc. COIN | 1.4% | Below usual | $335M | 100% | 9 of 16 |
| 108 | Eli Lilly LLY | 1.3% | 1.7× usual | $19.8M | 100% | 4 of 26 |
| 109 | Realty Income Corp O | 1.3% | About usual | $874K | 0% | 2 of 18 |
| 110 | Reddit, Inc. RDDT | 1.3% | Too new to compare | $251M | 99.7% | 7 of 13 |
| 111 | Uber Technologies, Inc UBER | 1.2% | Below usual | $5.9M | 19% | 4 of 19 |
| 112 | Kinder Morgan, Inc. KMI | 1.2%* | Below usual | $2.9M | 91% | 4 of 17 |
| 113 | KKR & Co. Inc. KKR | 1.1%* | Below usual | $1.1M | 0% | 1 of 18 |
| 114 | Costar Group, Inc. CSGP | 0.8%* | Below usual | $534K | 0% | 2 of 16 |
| 115 | Salesforce, Inc. CRM | 0.7% | Below usual | $43.4M | 95% | 4 of 21 |
| 116 | Essex Property Trust, Inc. ESS | 0.7%* | Below usual | $168K | 0% | 1 of 13 |
| 117 | Estée Lauder EL | 0.7%* | About usual | $264M | 0% | 6 of 21 |
| 118 | Nebius Group N.V. NBIS | 0.6% | Too new to compare | $317M | 83% | 10 of 15 |
| 119 | Rollins Inc ROL | 0.6%* | Below usual | $4.7M | 27% | 5 of 17 |
| 120 | DraftKings Inc. DKNG | 0.5% | Below usual | $22.6M | 96% | 6 of 14 |
| 121 | Evergy, Inc. EVRG | 0.5% | About usual | $1.8M | 0% | 5 of 20 |
| 122 | Centerpoint Energy Inc CNP | 0.5% | Below usual | $241K | 0% | 1 of 19 |
| 123 | MSCI Inc. MSCI | 0.4% | Below usual | $7.0M | 11% | 3 of 17 |
| 124 | Amcor plc AMCR | 0.4% | Below usual | $142K | 0% | 2 of 20 |
| 125 | Strategy Inc MSTR | 0.4% | Below usual | $36.6M | 70% | 6 of 13 |
| 126 | Super Micro Computer, Inc. SMCI | 0.3%* | Below usual | $11.2M | 69% | 3 of 16 |
| 127 | Lucid Group, Inc. LCID | 0.3% | About usual | $23K | 100% | 1 of 14 |
| 128 | Chipotle Mexican Grill Inc CMG | 0.2%* | Below usual | $7.2M | 0% | 3 of 21 |
| 129 | Celsius Holdings, Inc. CELH | 0.2%* | Below usual | $3.0M | 11% | 3 of 16 |
| 130 | Hims & Hers Health, Inc. HIMS | 0.2%* | Below usual | $31.2M | 99.7% | 9 of 18 |
| 131 | Federal Realty Investment Trust FRT | 0.2% | Below usual | $163K | 0% | 1 of 9 |
| 132 | Apollo Global Management, Inc. APO | 0.2%* | Below usual | $9.8M | 0% | 3 of 22 |
| 133 | Firefly Aerospace Inc. FLY | 0.2% | Too new to compare | $339K | 100% | 1 of 17 |
| 134 | UnitedHealth Group UNH | 0.1% | Below usual | $945K | 0% | 1 of 18 |
| 135 | Copart Inc CPRT | 0.1% | Below usual | $9.9M | 29% | 3 of 15 |
| 136 | Trade Desk, Inc. TTD | 0.1% | Below usual | $5.8M | 0% | 2 of 17 |
| 137 | Meta Platforms, Inc. META | <0.1% | Below usual | $260M | 95% | 10 of 22 |
| 138 | Alphabet Inc. GOOGL | <0.1% | Below usual | $141M | 100% | 6 of 15 |
| 139 | Oracle Corp ORCL | <0.1% | Below usual | $119M | 71% | 9 of 22 |
| 140 | Cintas Corp CTAS | <0.1% | Below usual | $3.6M | 0% | 2 of 12 |
| 141 | Oklo Inc. OKLO | <0.1%* | 5.2× usual | $481M | 94% | 10 of 19 |
| 142 | TKO Group Holdings, Inc. TKO | <0.1% | Too new to compare | $67.2M | 100% | 6 of 14 |
| 143 | Gemini Space Station, Inc. GEMI | <0.1% | Too new to compare | $129K | 25% | 1 of 9 |
| 144 | Tesla, Inc. TSLA | <0.1% | Below usual | $87.7M | 66% | 4 of 9 |
| 145 | Trump Media & Technology Group Corp. DJT | <0.1% | Below usual | $55K | 0% | 1 of 12 |
| – | AbbVie Inc. ABBV | Not ranked: share of stake can't be measured, or nothing was sold | Below usual | $18.9M | 50% | 3 of 22 |
| – | Adobe Inc. ADBE | Not ranked: share of stake can't be measured, or nothing was sold | 2× usual | $50.8M | 0% | 3 of 20 |
| – | AMC Entertainment AMC | Not ranked: share of stake can't be measured, or nothing was sold | Below usual | $0 | n/a | 0 of 18 |
| – | American Water Works Company, Inc. AWK | Not ranked: share of stake can't be measured, or nothing was sold | Below usual | $0 | n/a | 0 of 16 |
| – | Baker Hughes Co BKR | Not ranked: share of stake can't be measured, or nothing was sold | 2.4× usual | $73.2M | 99% | 7 of 17 |
| – | Berkshire Hathaway BRK-B | Not ranked: share of stake can't be measured, or nothing was sold | 2.4× usual | $20.0M | 0% | 1 of 6 |
| – | Brown & Brown, Inc. BRO | Not ranked: share of stake can't be measured, or nothing was sold | Below usual | $0 | n/a | 0 of 23 |
| – | Constellation Energy Corp CEG | Not ranked: share of stake can't be measured, or nothing was sold | Below usual | $0 | n/a | 0 of 22 |
| – | Crh Public Ltd Co CRH | Not ranked: share of stake can't be measured, or nothing was sold | Too new to compare | $156K | 0% | 1 of 25 |
| – | Dow Inc. DOW | Not ranked: share of stake can't be measured, or nothing was sold | Below usual | $0 | n/a | 0 of 25 |
| – | EchoStar CORP ECHO | Not ranked: share of stake can't be measured, or nothing was sold | 4.2× usual | $57.4M | 68% | 6 of 15 |
| – | FedEx Freight Holding Company, Inc. FDXF | Not ranked: share of stake can't be measured, or nothing was sold | Too new to compare | $0 | n/a | 0 of 16 |
| – | GE HealthCare Technologies Inc. GEHC | Not ranked: share of stake can't be measured, or nothing was sold | Too new to compare | $0 | n/a | 0 of 23 |
| – | GE Vernova Inc. GEV | Not ranked: share of stake can't be measured, or nothing was sold | Too new to compare | $11.5M | 0% | 3 of 18 |
| – | Honeywell Aerospace Inc. HONA | Not ranked: share of stake can't be measured, or nothing was sold | Too new to compare | $0 | n/a | 0 of 15 |
| – | Intel Corp INTC | Not ranked: share of stake can't be measured, or nothing was sold | 4.4× usual | $7.5M | 0% | 2 of 20 |
| – | Invitation Homes Inc. INVH | Not ranked: share of stake can't be measured, or nothing was sold | Below usual | $0 | n/a | 0 of 16 |
| – | Kenvue Inc. KVUE | Not ranked: share of stake can't be measured, or nothing was sold | Too new to compare | $747K | 0% | 2 of 25 |
| – | Linde Plc LIN | Not ranked: share of stake can't be measured, or nothing was sold | Below usual | $12.9M | 16% | 4 of 21 |
| – | Marvell Technology, Inc. MRVL | Not ranked: share of stake can't be measured, or nothing was sold | Below usual | $52.2M | 90% | 6 of 18 |
| – | Norwegian Cruise Line Holdings Ltd. NCLH | Not ranked: share of stake can't be measured, or nothing was sold | Below usual | $110K | 0% | 1 of 20 |
| – | News Corp NWSA | Not ranked: share of stake can't be measured, or nothing was sold | Below usual | $3.2M | 0% | 5 of 13 |
| – | PayPal Holdings, Inc. PYPL | Not ranked: share of stake can't be measured, or nothing was sold | About usual | $8.3M | 81% | 5 of 20 |
| – | Starbucks Corp SBUX | Not ranked: share of stake can't be measured, or nothing was sold | Below usual | $2.2M | 100% | 2 of 18 |
| – | Skydance Corp SKYD | Not ranked: share of stake can't be measured, or nothing was sold | Too new to compare | $0 | n/a | 0 of 28 |
| – | SoFi Technologies, Inc. SOFI | Not ranked: share of stake can't be measured, or nothing was sold | Below usual | $11.8M | 84% | 5 of 18 |
| – | Solventum Corp SOLV | Not ranked: share of stake can't be measured, or nothing was sold | Too new to compare | $0 | n/a | 0 of 21 |
| – | BIO-TECHNE Corp TECH | Not ranked: share of stake can't be measured, or nothing was sold | Below usual | $437K | 0% | 1 of 15 |
| – | Target Corp TGT | Not ranked: share of stake can't be measured, or nothing was sold | About usual | $26.0M | 0% | 5 of 27 |
| – | Universal Health Services Inc UHS | Not ranked: share of stake can't be measured, or nothing was sold | Below usual | $1.2M | 0% | 2 of 10 |
| – | Vici Properties Inc. VICI | Not ranked: share of stake can't be measured, or nothing was sold | Below usual | $0 | n/a | 0 of 13 |
| – | Viatris Inc VTRS | Not ranked: share of stake can't be measured, or nothing was sold | Below usual | $1.1M | 74% | 1 of 18 |
| – | Vylor Inc. VYLR | Not ranked: share of stake can't be measured, or nothing was sold | Too new to compare | $0 | n/a | 0 of 11 |
| – | Berkley W R Corp WRB | Not ranked: share of stake can't be measured, or nothing was sold | Below usual | $0 | n/a | 0 of 15 |
| – | Wynn Resorts Ltd WYNN | Not ranked: share of stake can't be measured, or nothing was sold | Below usual | $0 | n/a | 0 of 12 |
* Marked figures leave out the company's largest insider holder, whose holdings can't be measured reliably. The company page says who and why.Companies that can't be ranked on this measure are listed at the bottom, with the reason. Outside holders and the funds that board members represent are never included.Disclosed company stock is not an insider's whole wealth. How we calculate this
Why share of stake, not dollars?
A founder selling $100M can be a small slice of a multi-billion-dollar stake. Ranking by share of stake shows who actually reduced their ownership. Switch to "Dollars sold" for the headline totals. A ranking describes what happened; it is not a rating and says nothing about what a stock will do.