Cigna Corp (CI)
NYSE:CI
Holding CI?
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Cigna (CI) Hedge Fund Trading Activity

3,143 Followers
Trend: Hedge Funds Decreased Holdings by 4.6M Shares Last Quarter

Hedge Fund Holdings in CI

Based on the 13F filings of 487 Hedge Funds submitted to the SEC.
See how hedge fund holdings have changed over the past year. The columns represent the number of shares owned by hedge funds.

Hedge Fund Confidence Signal

Very Negative
Stock Sentiment
Sold
Bought
Based on activity of 31 Hedge Funds in the recent quarter
A unique signal which shows hedge fund sentiment according to recent transactions.

Hedge Fund Activity​

Activity
Any
Any
Star Ranking
Any
Any
Hedge Fund Manager
Star Ranking
Firm
Activity
Holding Change
Value Reported
% of Portfolio
Follow
Sivik Global Healthcare LLC
Sold Out
-100.00%
0.00%
Woodline Partners LP
Sold Out
-100.00%
0.00%
Scion Asset Management
Sold Out
-100.00%
0.00%
GoalVest Advisory LLC
Not Changed
0.00%
$1983
<0.01%
EntryPoint Capital, LLC
New
100.00%
$6280
<0.01%
Platinum Investment Management
Added
12.24%
$106112
<0.01%
Fortitude Family Office, LLC
Added
252.08%
$111732
0.06%
Kahn Brothers Group Inc
Reduced
-56.77%
$157351
0.03%
Deerfield Management Company, LP
New
100.00%
$243630
<0.01%
Barton Investment Management
Not Changed
0.00%
$357015
0.05%

FAQ

Which hedge funds hold Cigna Corp?
The hedge funds that hold the most shares in Cigna Corp are John A. Gunn, Chris Davis and Larry Robbins.
    Are hedge funds buying or selling CI?
    In the last quarter hedge funds have Decreased their holdings in Cigna Corp by 4.6M shares.
      Where can I see a list of the best rated hedge funds?
      You can see a list of the best hedge funds here.
        Who is the best-performing hedge fund manager?
        The top-rated hedge fund managers can be seen here: Top Hedge Fund Managers
          Does Warren Buffet hold shares in Cigna Corp stock?
          Warren Buffet currently does not own shares in Cigna Corp.
          What is a 13F filing, and how does it help investors?
          A 13F form, also known as a "Report of Investment Manager," is a quarterly report that investment advisors registered with the Securities and Exchange Commission (SEC) must file if they manage at least $100 million in assets. The 13F form lists all of the publicly traded securities that the investment advisor owns as of the end of the reporting period. To read more about the 13F, click here
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