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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 2026-10-07 01:17:02 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
DELL · DELL TECHNOLOGIES INC CL C2,1292,080597581752109$101,470,438,6691,178
STX · SEAGATE TECHNOLOGY HLDNGS1,9511,90955462060167$180,211,423,2721,174
UBER · Uber Technologies2,4292,376192968991204$121,380,547,3741,160
DIS · Walt Disney Co2,9322,8731171,0401,374185$127,233,316,9761,157
IEMG · iShares Core MSCI Emerging Markets ETF2,4082,36818596995870$139,026,845,2401,154
ADI · Analog Devices,Inc.2,2812,230282869821119$175,142,009,0031,151
VRT · VERTIV HOLDINGS CO COM CL A2,0501,995324823703107$104,968,020,3171,147
BMY · Bristol-Myers Squibb Company2,5152,4601469961,003158$96,438,803,6961,142
AGG · iShares Core US Aggregate Bond ETF2,0852,0531151,023681105$122,496,445,9161,138
VB · Vanguard Small-Cap ETF2,4722,44714198890255$47,743,374,2601,129
DVN · DEVON ENERGY CORP NEW COM1,4611,426337790234130$41,993,172,8001,127
GLD · SPDR GOLD TR3,0232,9911051,0131,165227$48,936,045,2921,118
FDXF · FEDEX FGHT HLDG CO INC COMMON STOCK1,1301,0941,117000$13,732,925,8541,117
BX · BLACKSTONE INC2,1482,100151960731129$63,354,979,4871,111
WDC · WESTERN DIGITAL CORP1,8441,78951259360289$206,215,321,2751,105
TMO · Thermo Fisher Scientific Inc.2,6192,5531709291,160146$169,069,201,8301,099
COP · ConocoPhillips2,4652,402143953981246$106,311,078,1871,096
GILD · Gilead Sciences,Inc.2,2772,222124950856164$140,570,552,5091,074
CVS · CVS Health Corporation2,0652,011296777734108$117,447,110,3431,073
IWM · iShares Russell 2000 ETF2,7302,6972528201,07197$83,739,190,9121,072
SYK · Stryker Corporation2,2602,209140928859180$97,179,050,0811,068
WM · Waste Management, Inc.2,3692,311125940921112$74,100,604,1791,065
UPS · United Parcel Service,Inc. Class B2,1372,093169894813134$57,236,747,3631,063
VXUS · VANGUARD STAR FDS1,8391,81918287946862$37,533,139,1941,061
SPYM · SPDR SER TR STATE STR SPDR PORT S&P 500 ETF1,7191,69517388545851$115,110,075,9681,058
SBUX · Starbucks Corporation2,3902,3331848691,002132$99,614,315,1221,053
ADP · Automatic Data Processing,Inc.2,2842,229173879880160$79,273,797,0951,052
BLK · BlackRock,Inc.2,2972,240129922887126$115,341,209,0211,051
DD · DUPONT DE NEMOURS INC COMMON STOCK1,0721,0371,051030$13,379,279,5621,051
SCHW · Charles Schwab Corp2,3102,257147903958159$133,717,001,7221,050
ISRG · Intuitive Surgical,Inc.2,2502,193150900885210$121,890,884,5901,050
EMR · EMERSON ELEC CO COM2,2882,23816688379989$65,623,624,7331,049
LOW · Lowes Companies,Inc.2,6472,5981319001,199175$97,596,805,4301,031
CMI · CUMMINS INC COM2,1012,052254772730112$83,666,644,9491,026
AEP · AMERICAN ELEC PWR CO INC COM1,9791,93314388359299$68,552,958,6371,026
BND · Vanguard Total Bond Market ETF1,8221,79812689656785$92,584,674,4961,022
COF · CAPITAL ONE FINL CORP2,1192,073201819774149$107,684,532,5981,020
FCX · FREEPORT MCMORAN INC CL B1,8911,837175844609130$78,182,052,2911,019
PNC · PNC FINL SVCS GROUP INC COM2,0301,98220881066897$82,217,655,5201,018
CB · Chubb Limited2,1572,10315784480597$118,847,060,7521,001
MDT · Medtronic Plc2,1272,080147848917244$86,719,529,863995
CEG · CONSTELLATION ENERGY CORP COM1,8601,812167827591207$71,420,850,064994
GD · GENERAL DYNAMICS CORP COM2,2092,162124861839125$82,757,626,768985
CRM · Salesforce.com, Inc2,4782,4171528201,288343$109,446,449,649972
MGK · Vanguard Mega Cap Growth ETF1,0181,0021028672146$17,498,558,773969
CCL · CARNIVAL CORP LTD COMMON SHARES9899649511373$25,455,493,843964
VYM · Vanguard High Dividend Yield ETF2,0602,03512284169172$28,514,774,596963
CSX · CSX Corporation1,9921,94421474863795$69,869,134,693962
PWR · QUANTA SVCS INC1,9391,89428667471496$95,702,237,734960
EFA · ISHARES TR2,2642,23712782677173$61,889,808,494953
PLD · Prologis,Inc.1,7331,67914380354882$119,594,763,001946
PSX · PHILLIPS 66 COM2,1002,054134807735162$53,542,108,625941
USB · USBANCORPDEL2,0582,00917775376995$76,788,378,410930
VLO · VALERO ENERGY CORP COM1,9751,921211715720104$64,069,917,761926
ACN · Accenture Plc Class A1,8971,846153771794401$61,124,227,767924
XLE · Energy Select Sector SPDR Fund2,0392,013135778847214$23,491,918,375913
TGT · TARGET CORP COM1,8871,849182727678140$51,273,060,897909
PH · PARKER-HANNIFIN CORP COM1,9761,919158749699111$108,283,494,383907
CL · COLGATE PALMOLIVE CO COM2,0151,959166728726102$61,463,829,934894
MMM · 3M CO COM2,2342,186166722856100$62,649,613,179888
LITE · LUMENTUM HLDGS INC COM1,3181,279363523326136$70,461,674,121886
HWM · HOWMET AEROSPACE INC COM1,6031,56121167449184$97,885,612,166885
MUB · ISHARES TR1,6401,6179578751076$40,011,418,836882
QQQM · INVESCO EXCH TRADED FD TR II1,3551,34020567631242$39,350,673,173881
KMI · KINDER MORGAN INC DEL COM1,8291,788114765665117$49,500,351,009879
FDX · FEDEX CORP COM1,9571,911117761708193$59,752,446,323878
VNQ · Vanguard Real Estate1,8031,78212075762192$21,969,015,748877
VRTX · Vertex Pharmaceuticals Incorporated1,7561,702171706620109$119,724,941,588877
TT · TRANE TECHNOLOGIES PLC SHS1,8201,77116371258890$94,081,820,640875
F · FORD MTR CO COM1,7331,696158713619132$36,269,470,440871
BNY · BANK OF NY MELLON CORP COM1,8791,82720466570789$83,097,380,424869
SCHG · Schwab U.S. Large-Cap Growth ETF1,6661,64512074454875$32,380,153,566864
PGR · Progressive Corporation1,8201,773177686709127$110,909,159,176863
SCHF · SCHWAB STRATEGIC TR1,6631,64212374053651$39,614,782,513863
WMB · WILLIAMS COS INC COM1,8281,777135724663119$81,607,331,910859
WELL · WELLTOWER INC COM1,5931,54618567048182$160,720,612,380855
SPGI · S&P Global,Inc.2,0191,964154699891248$105,389,626,743853
TRV · TRAVELERS COMPANIES INC COM1,8541,811171681624105$61,070,111,547852
HPE · HEWLETT PACKARD ENTERPRISE CO COM1,4401,40338646341673$53,200,028,375849
IVW · iShares S&P 500 Growth ETF2,1292,10315869079570$54,891,191,787848
AMT · American Tower Corporation1,7501,704157688668152$72,078,959,668845
MCK · MCKESSON CORP COM2,0101,961139706803179$79,792,192,499845
XLV · Health Care Select Sector SPDR Fund1,8571,830165679692117$29,599,799,572844
HDV · ISHARES TR881868697751548$6,207,596,884844
ALL · ALLSTATE CORP COM1,7501,709168672536109$50,471,691,396840
ELV · Elevance Health, Inc.1,6091,570246593546104$76,771,486,920839
XLF · Financial Select Sector SPDR Fund1,8941,864149686704101$39,571,688,326835
MPC · MARATHON PETE CORP COM1,9451,90115168471494$56,000,612,417835
SNOW · SNOWFLAKE INC COM SHS1,4581,412310520477138$70,061,790,359830
TMUS · T-Mobile US,Inc.1,6611,613148681639209$78,222,291,220829
VCSH · VANGUARD SCOTTSDALE FDS1,4741,4578674343784$28,606,077,465829
VST · VISTRA CORP COM1,4051,366206622417126$45,135,537,842828
MAR · MARRIOTT INTL INC NEW CL A1,7461,70018164655483$59,915,838,371827
MDLZ · Mondelez International,Inc. Class A1,8981,844121705764118$64,362,901,052826
LHX · L3HARRIS TECHNOLOGIES INC COM1,6921,642124702572163$47,542,330,479826
FTNT · FORTINET INC COM1,5741,53233748956195$77,189,893,468826
XLI · SELECT SECTOR SPDR TR1,6541,62818064549791$28,470,219,019825
EOG · EOG RES INC COM1,6371,593151672592127$65,696,034,980823
COHR · COHERENT CORP COM1,3101,269322501367121$66,933,523,159823
HOOD · ROBINHOOD MKTS INC1,3861,347253568406142$61,411,934,646821