Consensus buys
2026Q2 across all 13F filers. Method and universe.
The latest complete quarter is free. The $5 plan includes past quarters and CSV exports.
Securities with a ticker and share positions. No options or principal amounts. Most held ranks managers after filer group collapse. Buys, sells and new positions count filers whose resolved share positions changed, not trades.
Computed 2026-10-09 19:53:08 UTC. Equal scores are ordered by SEC CIK or security ID.
| Security | Filers | Managers | New | Added | Reduced | Exited | Reported share value | Score |
|---|---|---|---|---|---|---|---|---|
| CORZ · CORE SCIENTIFIC INC NEW | 413 | 400 | 86 | 140 | 127 | 64 | $9,347,581,195 | 226 |
| EFAV · ISHARES MSCI EAFE MIN VOL FACTOR ETF | 532 | 523 | 36 | 189 | 188 | 49 | $3,545,471,174 | 225 |
| VSXY · VICTORIAS SECRET AND CO COMMON STOCK | 436 | 422 | 102 | 123 | 141 | 54 | $7,093,363,117 | 225 |
| ACI · ALBERTSONS COMPANIES INC COMMON STOCK | 447 | 433 | 76 | 149 | 169 | 71 | $6,263,481,483 | 225 |
| FVD · FIRST TR VALUE LINE DIVID IN | 642 | 629 | 37 | 188 | 300 | 29 | $5,155,966,754 | 225 |
| INFQ · INFLEQTION INC | 260 | 253 | 180 | 45 | 24 | 17 | $1,223,741,339 | 225 |
| IBP · INSTALLED BLDG PRODS INC | 430 | 416 | 70 | 155 | 151 | 91 | $5,998,373,565 | 225 |
| ESML · iShares ESG Aware MSCI USA Small-Cap ETF | 478 | 474 | 58 | 166 | 167 | 27 | $2,326,202,758 | 224 |
| INSW · INTERNATIONAL SEAWAYS INC COM | 366 | 353 | 75 | 149 | 88 | 43 | $3,103,691,911 | 224 |
| HR · HEALTHCARE RLTY TR CL A COM | 463 | 445 | 57 | 167 | 146 | 41 | $7,620,443,123 | 224 |
| CRBG · COREBRIDGE FINL INC COM | 448 | 432 | 68 | 156 | 173 | 50 | $13,940,212,487 | 224 |
| AXS · AXIS CAP HLDGS LTD SHS | 473 | 462 | 54 | 170 | 188 | 49 | $7,714,921,395 | 224 |
| PENG · PENGUIN SOLUTIONS INC COM | 354 | 339 | 147 | 77 | 104 | 22 | $4,339,774,308 | 224 |
| SIMO · SILICON MOTION TECHNOLOGY CORP SPONSORED ADR | 386 | 381 | 147 | 77 | 133 | 36 | $8,225,471,614 | 224 |
| MTN · VAIL RESORTS INC COM | 442 | 425 | 67 | 157 | 144 | 68 | $6,319,042,286 | 224 |
| RSPT · INVESCO EXCHANGE TRADED FD T | 501 | 491 | 108 | 116 | 149 | 18 | $2,671,766,699 | 224 |
| WH · WYNDHAM HOTELS & RESORTS INC | 477 | 460 | 75 | 149 | 146 | 38 | $6,622,324,636 | 224 |
| SYSB · ISHARES SYSTEMATIC BOND ETF | 285 | 282 | 48 | 176 | 49 | 12 | $1,164,337,930 | 224 |
| GXO · GXO LOGISTICS INCORPORATED COMMON STOCK | 479 | 462 | 55 | 168 | 156 | 50 | $6,117,568,384 | 223 |
| ACA · ARCOSA INC COM | 429 | 412 | 97 | 126 | 118 | 42 | $6,541,864,982 | 223 |
| SBRA · SABRA HEALTH CARE REIT INC COM | 467 | 451 | 46 | 177 | 150 | 45 | $5,091,614,517 | 223 |
| NEAR · ISHARES U S ETF TR | 406 | 401 | 47 | 176 | 126 | 29 | $3,048,731,815 | 223 |
| ONB · OLD NATL BANCORP IND | 457 | 446 | 58 | 165 | 130 | 41 | $8,488,280,801 | 223 |
| DAVE · DAVE INC | 347 | 338 | 110 | 113 | 94 | 37 | $4,537,973,211 | 223 |
| HMC · HONDA MOTOR CO LTD ADR ECH CNV IN 3 | 382 | 380 | 68 | 154 | 97 | 51 | $1,431,793,033 | 222 |
| AVA · AVISTA CORP COM | 420 | 404 | 49 | 173 | 115 | 35 | $3,054,329,626 | 222 |
| DIOD · DIODES INC COM | 399 | 387 | 92 | 130 | 124 | 32 | $5,015,184,028 | 222 |
| MDGL · MADRIGAL PHARMACEUTICALS INC COM | 416 | 404 | 76 | 146 | 131 | 41 | $12,660,269,947 | 222 |
| SPHR · SPHERE ENTERTAINMENT CO CL A | 421 | 409 | 93 | 129 | 139 | 52 | $6,380,072,505 | 222 |
| SSD · SIMPSON MFG INC | 489 | 474 | 70 | 152 | 182 | 44 | $8,593,315,942 | 222 |
| BSCT · INVESCO BULLETSHARES 2029 CORPORATE BOND ETF | 352 | 349 | 34 | 188 | 74 | 19 | $2,214,557,714 | 222 |
| PECO · PHILLIPS EDISON & CO INC COMMON STOCK | 447 | 432 | 48 | 173 | 134 | 40 | $4,778,560,600 | 221 |
| IESC · IES HOLDINGS INC | 414 | 405 | 100 | 121 | 145 | 35 | $14,183,727,987 | 221 |
| CLSK · CLEANSPARK INC | 412 | 401 | 95 | 126 | 116 | 41 | $3,389,991,688 | 221 |
| IFRA · iShares U.S. Infrastructure ETF | 431 | 425 | 51 | 169 | 118 | 23 | $2,394,147,631 | 220 |
| CNM · CORE & MAIN INC CL A | 455 | 442 | 58 | 162 | 180 | 79 | $9,657,621,963 | 220 |
| YETI · YETI HLDGS INC COM | 462 | 447 | 81 | 139 | 170 | 53 | $4,195,637,111 | 220 |
| KMX · CARMAX INC COM | 557 | 542 | 87 | 133 | 258 | 81 | $7,801,249,525 | 220 |
| VSEC · VSE CORP COM | 384 | 370 | 69 | 151 | 129 | 41 | $7,642,685,455 | 220 |
| MPT · MEDICAL PROPERTIES TRUST INC COM | 491 | 475 | 50 | 170 | 173 | 51 | $1,683,771,581 | 220 |
| SCI · SERVICE CORP INTL COM | 553 | 535 | 67 | 153 | 218 | 80 | $9,850,143,877 | 220 |
| ALHC · ALIGNMENT HEALTHCARE INC COM | 324 | 314 | 77 | 143 | 81 | 46 | $5,291,803,545 | 220 |
| DTCR · GLOBAL X FDS | 296 | 295 | 85 | 135 | 39 | 14 | $1,420,232,495 | 220 |
| FHB · FIRST HAWAIIAN INC | 372 | 362 | 67 | 153 | 101 | 31 | $3,967,814,355 | 220 |
| FULT · FULTON FINL CORP PA | 375 | 362 | 69 | 151 | 77 | 31 | $3,830,009,078 | 220 |
| APPF · APPFOLIO INC | 394 | 383 | 60 | 159 | 135 | 64 | $3,774,137,846 | 219 |
| FRSH · FRESHWORKS INC CLASS A COM | 344 | 332 | 70 | 149 | 75 | 57 | $2,148,061,073 | 219 |
| UBSI · UNITED BANKSHARES INC WEST VA COM | 451 | 440 | 62 | 157 | 125 | 31 | $4,725,151,740 | 219 |
| AN · AUTONATION INC COM | 514 | 499 | 56 | 163 | 198 | 61 | $4,497,384,425 | 219 |
| LPX · LOUISIANA PAC CORP COM | 420 | 409 | 57 | 162 | 118 | 52 | $5,769,767,295 | 219 |
| SOUN · SOUNDHOUND AI INC CLASS A COM | 446 | 435 | 72 | 147 | 122 | 82 | $1,101,202,611 | 219 |
| RUN · SUNRUN INC | 399 | 385 | 57 | 162 | 110 | 60 | $3,570,491,704 | 219 |
| EWZ · ISHARES INC MSCI BRAZIL ETF | 403 | 400 | 71 | 148 | 116 | 86 | $6,262,370,790 | 219 |
| SHC · SOTERA HEALTH CO | 320 | 310 | 54 | 165 | 66 | 35 | $5,194,313,796 | 219 |
| OLED · UNIVERSAL DISPLAY CORP | 442 | 433 | 53 | 166 | 163 | 71 | $3,800,084,785 | 219 |
| LUNR · INTUITIVE MACHINES INC | 328 | 318 | 92 | 127 | 70 | 45 | $3,051,800,480 | 219 |
| BOTZ · GLOBAL X FDS | 463 | 458 | 56 | 163 | 117 | 37 | $1,406,150,368 | 219 |
| HOMB · HOME BANCSHARES INC COM | 381 | 370 | 56 | 162 | 108 | 39 | $4,394,279,864 | 218 |
| SWX · SOUTHWEST GAS HLDGS INC COM | 411 | 398 | 50 | 168 | 117 | 39 | $5,983,123,135 | 218 |
| TTAN · SERVICETITAN INC SHS CL A | 372 | 360 | 87 | 131 | 105 | 59 | $6,015,458,650 | 218 |
| MDU · MDU RES GROUP INC | 438 | 428 | 61 | 157 | 125 | 47 | $4,119,057,236 | 218 |
| NVTS · NAVITAS SEMICONDUCTOR CORP COM | 350 | 339 | 99 | 118 | 89 | 47 | $2,443,035,505 | 217 |
| ALC · ALCON AG ORD SHS | 635 | 619 | 70 | 147 | 277 | 92 | $16,034,982,972 | 217 |
| INFY · INFOSYS LTD SPONSORED ADR | 435 | 424 | 57 | 160 | 164 | 70 | $5,742,236,663 | 217 |
| FTSM · FIRST TR EXCHANGE-TRADED FD | 426 | 421 | 41 | 176 | 161 | 38 | $4,998,784,843 | 217 |
| MOAT · VANECK ETF TRUST | 733 | 724 | 46 | 171 | 360 | 39 | $6,809,664,323 | 217 |
| BLV · VANGUARD BD INDEX FDS | 412 | 407 | 39 | 178 | 124 | 39 | $3,687,699,291 | 217 |
| OLLI · OLLIES BARGAIN OUTLET HLDGS | 455 | 436 | 64 | 153 | 175 | 89 | $5,460,732,966 | 217 |
| ASB · ASSOCIATED BANC-CORP | 396 | 386 | 62 | 155 | 103 | 36 | $4,642,936,311 | 217 |
| BSCR · INVESCO BULLETSHARES 2027 CORPORATE BOND ETF | 405 | 400 | 31 | 186 | 125 | 24 | $3,651,450,921 | 217 |
| BEPC · BROOKFIELD RENEWABLE CORP | 429 | 415 | 56 | 160 | 138 | 46 | $4,076,961,506 | 216 |
| VRNS · VARONIS SYS INC | 352 | 337 | 89 | 127 | 89 | 42 | $4,674,193,962 | 216 |
| MCY · MERCURY GENL CORP NEW | 349 | 341 | 67 | 149 | 77 | 30 | $2,771,973,909 | 216 |
| CGCP · CAPITAL GRP FIXED INCM ETF T | 327 | 320 | 29 | 187 | 75 | 14 | $7,050,234,207 | 216 |
| ETHA · iShares Ethereum Trust | 461 | 459 | 51 | 164 | 125 | 85 | $870,525,808 | 215 |
| ERIC · TELEFONAKTIEBOLAGET LM ERICSS ADR B SEK 10 | 391 | 386 | 63 | 152 | 112 | 51 | $3,527,710,283 | 215 |
| ELS · EQUITY LIFESTYLE PROPERTIES COM | 478 | 462 | 44 | 171 | 194 | 63 | $13,521,908,783 | 215 |
| LASR · NLIGHT INC | 361 | 351 | 77 | 138 | 118 | 47 | $3,603,781,103 | 215 |
| OPEN · OPENDOOR TECHNOLOGIES INC | 390 | 380 | 89 | 126 | 84 | 67 | $2,571,266,024 | 215 |
| PTCT · PTC THERAPEUTICS INC | 383 | 371 | 72 | 143 | 112 | 44 | $8,199,140,386 | 215 |
| MAC · MACERICH CO | 348 | 335 | 61 | 154 | 79 | 21 | $7,832,023,704 | 215 |
| MGY · MAGNOLIA OIL & GAS CORP | 411 | 401 | 54 | 161 | 142 | 47 | $5,281,927,725 | 215 |
| MBC · MASTERBRAND INC | 349 | 339 | 64 | 151 | 53 | 51 | $2,277,532,592 | 215 |
| UMC · UNITED MICROELECTRONICS CORP SPON ADR NEW | 365 | 355 | 84 | 130 | 112 | 36 | $4,895,030,889 | 214 |
| NEU · NEWMARKET CORP COM | 424 | 407 | 85 | 129 | 140 | 45 | $4,752,921,083 | 214 |
| LCID · LUCID GROUP INC COM NEW | 374 | 363 | 82 | 132 | 56 | 62 | $2,043,571,089 | 214 |
| GKOS · GLAUKOS CORP COM | 367 | 352 | 67 | 147 | 104 | 38 | $8,441,617,373 | 214 |
| DBX · DROPBOX INC CL A | 455 | 443 | 76 | 138 | 181 | 50 | $4,953,125,996 | 214 |
| UEC · URANIUM ENERGY CORP COM | 406 | 395 | 60 | 154 | 114 | 63 | $4,409,338,877 | 214 |
| NXST · NEXSTAR MEDIA GROUP INC COMMON STOCK | 491 | 476 | 52 | 162 | 186 | 74 | $5,468,047,968 | 214 |
| WU · WESTERN UN CO COM | 486 | 472 | 79 | 135 | 190 | 103 | $2,317,662,378 | 214 |
| COLD · AMERICOLD REALTY TRUST INC COM | 412 | 401 | 67 | 147 | 141 | 54 | $4,896,987,238 | 214 |
| ANF · ABERCROMBIE & FITCH CO CL A | 416 | 404 | 58 | 156 | 140 | 53 | $4,296,576,682 | 214 |
| SSRM · SSR MINING IN | 392 | 383 | 59 | 155 | 108 | 54 | $4,079,787,038 | 214 |
| CGXU · CAPITAL GROUP INTL FOCUS EQT | 385 | 380 | 46 | 168 | 100 | 11 | $5,091,533,318 | 214 |
| MC · MOELIS & CO | 397 | 379 | 51 | 163 | 131 | 55 | $5,249,404,732 | 214 |
| HYMB · SPDR SERIES TRUST | 424 | 419 | 43 | 171 | 127 | 23 | $2,250,822,872 | 214 |
| HYD · VanEck High Yield Muni ETF | 373 | 368 | 56 | 157 | 98 | 31 | $3,286,158,770 | 213 |
| PK · PARK HOTELS & RESORTS INC COM | 398 | 383 | 62 | 151 | 117 | 41 | $3,063,770,800 | 213 |
| CRGY · CRESCENT ENERGY COMPANY CL A COM | 363 | 352 | 65 | 148 | 85 | 62 | $2,951,174,986 | 213 |