SWStonkWhisper

CGNXInstitutional Flow

Period: 2026-03-31 · 38 managers with reported activity

FundFlow Score
-0.05
New Positions
6
Increased
12
Decreased / Exited
20

CGNX institutional flow for the 2026-03-31 13F reporting period: 38 institutional managers filed activity, with 6 opening new positions and 12 increasing existing holdings (47% bullish). 17 reduced positions and 3 fully exited (53% bearish). FundFlow score: -0.05 — signaling balanced/neutral institutional activity with 100% confidence.

FundFlow is StonkWhisper's institutional sentiment index derived from SEC 13F filings. Institutional investment managers with at least $100 million in qualifying assets under management are required to file 13F reports within 45 days of each quarter end, disclosing their long positions in U.S. equities. FundFlow aggregates these disclosures across 170+ tracked managers and produces a net conviction score for each ticker. A rising FundFlow score — especially when driven by new position opens from concentrated funds — is a leading indicator of institutional thesis formation. The interactive charts below show the full manager-level breakdown and historical flow trend for CGNX.

Quarterly Flow History

2024-09
-0.03
29m
2024-12
+0.13
30m
2025-03
-0.06
34m
2025-06
+0.31
35m
2025-09
-0.03
33m
2025-12
-0.06
34m
2026-03
-0.05
38m
2026-06
+0.20
5m

Accumulating (18)

ManagerActionSharesValue
WorldQuantNEW POSITION92K$4.5B
BridgewaterNEW POSITION84K$4.1B
Brevan HowardNEW POSITION55K$2.7B
GMONEW POSITION15K$754.4M
BalyasnyNEW POSITION9K$454.0M
ExodusPointNEW POSITION5K$249.4M
ArrowstreetINCREASED2.0M+116%$99.6B
Artisan PartnersINCREASED1.7M+61%$84.7B
American CenturyINCREASED1.5M+55%$72.2B
WellingtonINCREASED333K+1899%$16.3B
MillenniumINCREASED218K+44%$10.7B
State StreetINCREASED5.3M+1%$257.8B
Geode CapitalINCREASED635K+8%$31.1B
CitadelINCREASED142K+41%$6.9B
Renaissance TechINCREASED868K+4%$42.5B
Gotham AssetINCREASED526K+6%$25.8B
AcadianINCREASED21K+947%$1.0M
Marshall WaceINCREASED2K+361%$90.4M

Distributing (20)

ManagerActionSharesPrev Value
Moore CapitalEXITED0-100%
CaxtonEXITED0-100%
WintonEXITED0-100%
Point72DECREASED2.1M-43%$104.5B
Engaged CapitalDECREASED484K-48%$23.7B
SchonfeldDECREASED10K-98%$477.9M
Brown CapitalDECREASED415K-35%$20.3B
WCMDECREASED250K-34%$11.5B
Two SigmaDECREASED168K-40%$8.2B
InvescoDECREASED23K-82%$1.1B
Baillie GiffordDECREASED14K-88%$669.3M
MawerDECREASED1.2M-7%$58.1B
William BlairDECREASED1.0M-4%$49.8B
Man GroupDECREASED56K-27%$2.7B
TudorDECREASED5K-76%$220.5M
DFADECREASED113K-10%$5.5B
DE ShawDECREASED4K-68%$203.8M
Northern TrustDECREASED13K-18%$657.8M
Neuberger Berman (Eisman)DECREASED12K-15%$567.0M
Franklin TempletonDECREASED6K-0%$278.1M
Data derived from SEC 13F filings. Updated quarterly. Not financial advice.← Back to FundFlow overview·View full whale holdings →