Skip to content

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.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
CORZ · CORE SCIENTIFIC INC NEW4134008614012764$9,347,581,195226
EFAV · ISHARES MSCI EAFE MIN VOL FACTOR ETF5325233618918849$3,545,471,174225
VSXY · VICTORIAS SECRET AND CO COMMON STOCK43642210212314154$7,093,363,117225
ACI · ALBERTSONS COMPANIES INC COMMON STOCK4474337614916971$6,263,481,483225
FVD · FIRST TR VALUE LINE DIVID IN6426293718830029$5,155,966,754225
INFQ · INFLEQTION INC260253180452417$1,223,741,339225
IBP · INSTALLED BLDG PRODS INC4304167015515191$5,998,373,565225
ESML · iShares ESG Aware MSCI USA Small-Cap ETF4784745816616727$2,326,202,758224
INSW · INTERNATIONAL SEAWAYS INC COM366353751498843$3,103,691,911224
HR · HEALTHCARE RLTY TR CL A COM4634455716714641$7,620,443,123224
CRBG · COREBRIDGE FINL INC COM4484326815617350$13,940,212,487224
AXS · AXIS CAP HLDGS LTD SHS4734625417018849$7,714,921,395224
PENG · PENGUIN SOLUTIONS INC COM3543391477710422$4,339,774,308224
SIMO · SILICON MOTION TECHNOLOGY CORP SPONSORED ADR3863811477713336$8,225,471,614224
MTN · VAIL RESORTS INC COM4424256715714468$6,319,042,286224
RSPT · INVESCO EXCHANGE TRADED FD T50149110811614918$2,671,766,699224
WH · WYNDHAM HOTELS & RESORTS INC4774607514914638$6,622,324,636224
SYSB · ISHARES SYSTEMATIC BOND ETF285282481764912$1,164,337,930224
GXO · GXO LOGISTICS INCORPORATED COMMON STOCK4794625516815650$6,117,568,384223
ACA · ARCOSA INC COM4294129712611842$6,541,864,982223
SBRA · SABRA HEALTH CARE REIT INC COM4674514617715045$5,091,614,517223
NEAR · ISHARES U S ETF TR4064014717612629$3,048,731,815223
ONB · OLD NATL BANCORP IND4574465816513041$8,488,280,801223
DAVE · DAVE INC3473381101139437$4,537,973,211223
HMC · HONDA MOTOR CO LTD ADR ECH CNV IN 3382380681549751$1,431,793,033222
AVA · AVISTA CORP COM4204044917311535$3,054,329,626222
DIOD · DIODES INC COM3993879213012432$5,015,184,028222
MDGL · MADRIGAL PHARMACEUTICALS INC COM4164047614613141$12,660,269,947222
SPHR · SPHERE ENTERTAINMENT CO CL A4214099312913952$6,380,072,505222
SSD · SIMPSON MFG INC4894747015218244$8,593,315,942222
BSCT · INVESCO BULLETSHARES 2029 CORPORATE BOND ETF352349341887419$2,214,557,714222
PECO · PHILLIPS EDISON & CO INC COMMON STOCK4474324817313440$4,778,560,600221
IESC · IES HOLDINGS INC41440510012114535$14,183,727,987221
CLSK · CLEANSPARK INC4124019512611641$3,389,991,688221
IFRA · iShares U.S. Infrastructure ETF4314255116911823$2,394,147,631220
CNM · CORE & MAIN INC CL A4554425816218079$9,657,621,963220
YETI · YETI HLDGS INC COM4624478113917053$4,195,637,111220
KMX · CARMAX INC COM5575428713325881$7,801,249,525220
VSEC · VSE CORP COM3843706915112941$7,642,685,455220
MPT · MEDICAL PROPERTIES TRUST INC COM4914755017017351$1,683,771,581220
SCI · SERVICE CORP INTL COM5535356715321880$9,850,143,877220
ALHC · ALIGNMENT HEALTHCARE INC COM324314771438146$5,291,803,545220
DTCR · GLOBAL X FDS296295851353914$1,420,232,495220
FHB · FIRST HAWAIIAN INC3723626715310131$3,967,814,355220
FULT · FULTON FINL CORP PA375362691517731$3,830,009,078220
APPF · APPFOLIO INC3943836015913564$3,774,137,846219
FRSH · FRESHWORKS INC CLASS A COM344332701497557$2,148,061,073219
UBSI · UNITED BANKSHARES INC WEST VA COM4514406215712531$4,725,151,740219
AN · AUTONATION INC COM5144995616319861$4,497,384,425219
LPX · LOUISIANA PAC CORP COM4204095716211852$5,769,767,295219
SOUN · SOUNDHOUND AI INC CLASS A COM4464357214712282$1,101,202,611219
RUN · SUNRUN INC3993855716211060$3,570,491,704219
EWZ · ISHARES INC MSCI BRAZIL ETF4034007114811686$6,262,370,790219
SHC · SOTERA HEALTH CO320310541656635$5,194,313,796219
OLED · UNIVERSAL DISPLAY CORP4424335316616371$3,800,084,785219
LUNR · INTUITIVE MACHINES INC328318921277045$3,051,800,480219
BOTZ · GLOBAL X FDS4634585616311737$1,406,150,368219
HOMB · HOME BANCSHARES INC COM3813705616210839$4,394,279,864218
SWX · SOUTHWEST GAS HLDGS INC COM4113985016811739$5,983,123,135218
TTAN · SERVICETITAN INC SHS CL A3723608713110559$6,015,458,650218
MDU · MDU RES GROUP INC4384286115712547$4,119,057,236218
NVTS · NAVITAS SEMICONDUCTOR CORP COM350339991188947$2,443,035,505217
ALC · ALCON AG ORD SHS6356197014727792$16,034,982,972217
INFY · INFOSYS LTD SPONSORED ADR4354245716016470$5,742,236,663217
FTSM · FIRST TR EXCHANGE-TRADED FD4264214117616138$4,998,784,843217
MOAT · VANECK ETF TRUST7337244617136039$6,809,664,323217
BLV · VANGUARD BD INDEX FDS4124073917812439$3,687,699,291217
OLLI · OLLIES BARGAIN OUTLET HLDGS4554366415317589$5,460,732,966217
ASB · ASSOCIATED BANC-CORP3963866215510336$4,642,936,311217
BSCR · INVESCO BULLETSHARES 2027 CORPORATE BOND ETF4054003118612524$3,651,450,921217
BEPC · BROOKFIELD RENEWABLE CORP4294155616013846$4,076,961,506216
VRNS · VARONIS SYS INC352337891278942$4,674,193,962216
MCY · MERCURY GENL CORP NEW349341671497730$2,771,973,909216
CGCP · CAPITAL GRP FIXED INCM ETF T327320291877514$7,050,234,207216
ETHA · iShares Ethereum Trust4614595116412585$870,525,808215
ERIC · TELEFONAKTIEBOLAGET LM ERICSS ADR B SEK 103913866315211251$3,527,710,283215
ELS · EQUITY LIFESTYLE PROPERTIES COM4784624417119463$13,521,908,783215
LASR · NLIGHT INC3613517713811847$3,603,781,103215
OPEN · OPENDOOR TECHNOLOGIES INC390380891268467$2,571,266,024215
PTCT · PTC THERAPEUTICS INC3833717214311244$8,199,140,386215
MAC · MACERICH CO348335611547921$7,832,023,704215
MGY · MAGNOLIA OIL & GAS CORP4114015416114247$5,281,927,725215
MBC · MASTERBRAND INC349339641515351$2,277,532,592215
UMC · UNITED MICROELECTRONICS CORP SPON ADR NEW3653558413011236$4,895,030,889214
NEU · NEWMARKET CORP COM4244078512914045$4,752,921,083214
LCID · LUCID GROUP INC COM NEW374363821325662$2,043,571,089214
GKOS · GLAUKOS CORP COM3673526714710438$8,441,617,373214
DBX · DROPBOX INC CL A4554437613818150$4,953,125,996214
UEC · URANIUM ENERGY CORP COM4063956015411463$4,409,338,877214
NXST · NEXSTAR MEDIA GROUP INC COMMON STOCK4914765216218674$5,468,047,968214
WU · WESTERN UN CO COM48647279135190103$2,317,662,378214
COLD · AMERICOLD REALTY TRUST INC COM4124016714714154$4,896,987,238214
ANF · ABERCROMBIE & FITCH CO CL A4164045815614053$4,296,576,682214
SSRM · SSR MINING IN3923835915510854$4,079,787,038214
CGXU · CAPITAL GROUP INTL FOCUS EQT3853804616810011$5,091,533,318214
MC · MOELIS & CO3973795116313155$5,249,404,732214
HYMB · SPDR SERIES TRUST4244194317112723$2,250,822,872214
HYD · VanEck High Yield Muni ETF373368561579831$3,286,158,770213
PK · PARK HOTELS & RESORTS INC COM3983836215111741$3,063,770,800213
CRGY · CRESCENT ENERGY COMPANY CL A COM363352651488562$2,951,174,986213