RES RPC INC

NEUTRAL Impact: 3/10 Institutional Cluster
Horizon weeks Processed 2d 3h ago
Institutional cluster: 5 buyers, 1 sellers (bullish)

Executive Summary

Five institutional investors, predominantly mega-passive managers, increased their RES positions in Q3 2025, adding a net $11.8M in holdings to a total of $29.7M. The buying is broad but dominated by passive rebalancing, not active conviction, and is partially offset by a small trim from Fidelity. The cluster suggests a sector-level or index-driven accumulation rather than a stock-specific catalyst.

Key Financial Metrics

Direction
accumulating
Buy Value
$29.7M
Sell Value
$75.0K
Net Flow
$11.8M

Institutional Positions

Net institutional flow: $11.8M

▲ Buyers (5)

InstitutionActionChangePosition ValueValue Δ
Morgan Stanley ADD +56.3% $8.4M $3.1M
Invesco ADD +33.6% $5.1M $1.3M
UBS DOUBLED +134.3% $7.1M $4.1M
RenTech DOUBLED +109% $2.4M $1.3M
BofA ADD +44% $6.6M $2.0M

▼ Sellers (1)

InstitutionActionChangePrev ValueValue Δ
Fidelity TRIM -50% $75.0K -$37.2K

Actionable Insight

The cluster is dominated by passive/index-driven buying, not active conviction. Monitor for any stock-specific catalyst (earnings, contract wins) that could explain the rebalancing. The 45-day 13F lag means these positions may already be stale. No immediate trade signal.

Key Facts

  • 5 buyers added $11.8M net, bringing total institutional holdings in the cluster to $29.7M.
  • UBS doubled its position (+134.3%, +$4.1M) and RenTech doubled (+109.0%, +$1.3M).
  • Morgan Stanley, Invesco, and BofA each added 33-56% to existing positions.
  • Fidelity trimmed 50% of a very small position (-$37K), representing negligible selling pressure.
  • All six funds are mega-passive or quant; no active value, activist, or family office managers participated.

Financial Impact

Net institutional accumulation of $11.8M across 5 buyers, with total cluster holdings of $29.7M. This represents roughly 1.9% of RES's $1.6B market cap.

institutional ownershipfloat

Risk Factors

  • Passive buying may reverse in the next quarter with no fundamental catalyst.
  • 13F data is 45+ days old; positions may have been unwound since quarter-end.
  • Analyst consensus is heavily bearish (8% bullish), suggesting limited near-term upside conviction.

Market Snapshot

Exchange
NYSE
Sector
Oil & Gas Field Services, NEC
Analyst Consensus
8% bullish (12 analysts)

Documents Analyzed

This report is based on 1 institutional 13F filing from SEC EDGAR.

DocumentAccession Number
INST-CLUSTER Data (Synthetic)inst-cluster-RES-2025-Q3
5 reports for RES
Performance horizon

Track record builds as more directional reports settle.

Filters
Rows
Reports for RES — sortable, filterable
Type Now
Jun 11, 2026
2d ago
Institutional Cluster
NEUTRAL ★ 3/10
$7.15 awaiting T+20awaiting T+20
May 7, 2026
5w ago
8-K
BEARISH ★ 6/10
$7.09 $7.12▼ −0.45%▲ +2.69%
Apr 28, 2026
6w ago
8-K
NEUTRAL ★ 2/10
$7.86 $6.70▼ −14.80%▼ −20.84%
Apr 13, 2026
8w ago
DEFA14A
NEUTRAL ★ 5/10
$6.72 $7.02▲ +4.46%▼ −3.27%
Mar 18, 2026
12w ago
DEFA14A
NEUTRAL ★ 2/10
$6.96 $7.20▲ +3.47%▼ −2.58%
Showing 5 of 5

US Market Status

Market Closed — Opens Mon (45h 30m)

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