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.
| Security | Filers | Managers | New | Added | Reduced | Exited | Reported share value | Score |
|---|---|---|---|---|---|---|---|---|
| DELL · DELL TECHNOLOGIES INC CL C | 2,129 | 2,080 | 597 | 581 | 752 | 109 | $101,470,438,669 | 1,178 |
| STX · SEAGATE TECHNOLOGY HLDNGS | 1,951 | 1,909 | 554 | 620 | 601 | 67 | $180,211,423,272 | 1,174 |
| UBER · Uber Technologies | 2,429 | 2,376 | 192 | 968 | 991 | 204 | $121,380,547,374 | 1,160 |
| DIS · Walt Disney Co | 2,932 | 2,873 | 117 | 1,040 | 1,374 | 185 | $127,233,316,976 | 1,157 |
| IEMG · iShares Core MSCI Emerging Markets ETF | 2,408 | 2,368 | 185 | 969 | 958 | 70 | $139,026,845,240 | 1,154 |
| ADI · Analog Devices,Inc. | 2,281 | 2,230 | 282 | 869 | 821 | 119 | $175,142,009,003 | 1,151 |
| VRT · VERTIV HOLDINGS CO COM CL A | 2,050 | 1,995 | 324 | 823 | 703 | 107 | $104,968,020,317 | 1,147 |
| BMY · Bristol-Myers Squibb Company | 2,515 | 2,460 | 146 | 996 | 1,003 | 158 | $96,438,803,696 | 1,142 |
| AGG · iShares Core US Aggregate Bond ETF | 2,085 | 2,053 | 115 | 1,023 | 681 | 105 | $122,496,445,916 | 1,138 |
| VB · Vanguard Small-Cap ETF | 2,472 | 2,447 | 141 | 988 | 902 | 55 | $47,743,374,260 | 1,129 |
| DVN · DEVON ENERGY CORP NEW COM | 1,461 | 1,426 | 337 | 790 | 234 | 130 | $41,993,172,800 | 1,127 |
| GLD · SPDR GOLD TR | 3,023 | 2,991 | 105 | 1,013 | 1,165 | 227 | $48,936,045,292 | 1,118 |
| FDXF · FEDEX FGHT HLDG CO INC COMMON STOCK | 1,130 | 1,094 | 1,117 | 0 | 0 | 0 | $13,732,925,854 | 1,117 |
| BX · BLACKSTONE INC | 2,148 | 2,100 | 151 | 960 | 731 | 129 | $63,354,979,487 | 1,111 |
| WDC · WESTERN DIGITAL CORP | 1,844 | 1,789 | 512 | 593 | 602 | 89 | $206,215,321,275 | 1,105 |
| TMO · Thermo Fisher Scientific Inc. | 2,619 | 2,553 | 170 | 929 | 1,160 | 146 | $169,069,201,830 | 1,099 |
| COP · ConocoPhillips | 2,465 | 2,402 | 143 | 953 | 981 | 246 | $106,311,078,187 | 1,096 |
| GILD · Gilead Sciences,Inc. | 2,277 | 2,222 | 124 | 950 | 856 | 164 | $140,570,552,509 | 1,074 |
| CVS · CVS Health Corporation | 2,065 | 2,011 | 296 | 777 | 734 | 108 | $117,447,110,343 | 1,073 |
| IWM · iShares Russell 2000 ETF | 2,730 | 2,697 | 252 | 820 | 1,071 | 97 | $83,739,190,912 | 1,072 |
| SYK · Stryker Corporation | 2,260 | 2,209 | 140 | 928 | 859 | 180 | $97,179,050,081 | 1,068 |
| WM · Waste Management, Inc. | 2,369 | 2,311 | 125 | 940 | 921 | 112 | $74,100,604,179 | 1,065 |
| UPS · United Parcel Service,Inc. Class B | 2,137 | 2,093 | 169 | 894 | 813 | 134 | $57,236,747,363 | 1,063 |
| VXUS · VANGUARD STAR FDS | 1,839 | 1,819 | 182 | 879 | 468 | 62 | $37,533,139,194 | 1,061 |
| SPYM · SPDR SER TR STATE STR SPDR PORT S&P 500 ETF | 1,719 | 1,695 | 173 | 885 | 458 | 51 | $115,110,075,968 | 1,058 |
| SBUX · Starbucks Corporation | 2,390 | 2,333 | 184 | 869 | 1,002 | 132 | $99,614,315,122 | 1,053 |
| ADP · Automatic Data Processing,Inc. | 2,284 | 2,229 | 173 | 879 | 880 | 160 | $79,273,797,095 | 1,052 |
| BLK · BlackRock,Inc. | 2,297 | 2,240 | 129 | 922 | 887 | 126 | $115,341,209,021 | 1,051 |
| DD · DUPONT DE NEMOURS INC COMMON STOCK | 1,072 | 1,037 | 1,051 | 0 | 3 | 0 | $13,379,279,562 | 1,051 |
| SCHW · Charles Schwab Corp | 2,310 | 2,257 | 147 | 903 | 958 | 159 | $133,717,001,722 | 1,050 |
| ISRG · Intuitive Surgical,Inc. | 2,250 | 2,193 | 150 | 900 | 885 | 210 | $121,890,884,590 | 1,050 |
| EMR · EMERSON ELEC CO COM | 2,288 | 2,238 | 166 | 883 | 799 | 89 | $65,623,624,733 | 1,049 |
| LOW · Lowes Companies,Inc. | 2,647 | 2,598 | 131 | 900 | 1,199 | 175 | $97,596,805,430 | 1,031 |
| CMI · CUMMINS INC COM | 2,101 | 2,052 | 254 | 772 | 730 | 112 | $83,666,644,949 | 1,026 |
| AEP · AMERICAN ELEC PWR CO INC COM | 1,979 | 1,933 | 143 | 883 | 592 | 99 | $68,552,958,637 | 1,026 |
| BND · Vanguard Total Bond Market ETF | 1,822 | 1,798 | 126 | 896 | 567 | 85 | $92,584,674,496 | 1,022 |
| COF · CAPITAL ONE FINL CORP | 2,119 | 2,073 | 201 | 819 | 774 | 149 | $107,684,532,598 | 1,020 |
| FCX · FREEPORT MCMORAN INC CL B | 1,891 | 1,837 | 175 | 844 | 609 | 130 | $78,182,052,291 | 1,019 |
| PNC · PNC FINL SVCS GROUP INC COM | 2,030 | 1,982 | 208 | 810 | 668 | 97 | $82,217,655,520 | 1,018 |
| CB · Chubb Limited | 2,157 | 2,103 | 157 | 844 | 805 | 97 | $118,847,060,752 | 1,001 |
| MDT · Medtronic Plc | 2,127 | 2,080 | 147 | 848 | 917 | 244 | $86,719,529,863 | 995 |
| CEG · CONSTELLATION ENERGY CORP COM | 1,860 | 1,812 | 167 | 827 | 591 | 207 | $71,420,850,064 | 994 |
| GD · GENERAL DYNAMICS CORP COM | 2,209 | 2,162 | 124 | 861 | 839 | 125 | $82,757,626,768 | 985 |
| CRM · Salesforce.com, Inc | 2,478 | 2,417 | 152 | 820 | 1,288 | 343 | $109,446,449,649 | 972 |
| MGK · Vanguard Mega Cap Growth ETF | 1,018 | 1,002 | 102 | 867 | 21 | 46 | $17,498,558,773 | 969 |
| CCL · CARNIVAL CORP LTD COMMON SHARES | 989 | 964 | 951 | 13 | 7 | 3 | $25,455,493,843 | 964 |
| VYM · Vanguard High Dividend Yield ETF | 2,060 | 2,035 | 122 | 841 | 691 | 72 | $28,514,774,596 | 963 |
| CSX · CSX Corporation | 1,992 | 1,944 | 214 | 748 | 637 | 95 | $69,869,134,693 | 962 |
| PWR · QUANTA SVCS INC | 1,939 | 1,894 | 286 | 674 | 714 | 96 | $95,702,237,734 | 960 |
| EFA · ISHARES TR | 2,264 | 2,237 | 127 | 826 | 771 | 73 | $61,889,808,494 | 953 |
| PLD · Prologis,Inc. | 1,733 | 1,679 | 143 | 803 | 548 | 82 | $119,594,763,001 | 946 |
| PSX · PHILLIPS 66 COM | 2,100 | 2,054 | 134 | 807 | 735 | 162 | $53,542,108,625 | 941 |
| USB · USBANCORPDEL | 2,058 | 2,009 | 177 | 753 | 769 | 95 | $76,788,378,410 | 930 |
| VLO · VALERO ENERGY CORP COM | 1,975 | 1,921 | 211 | 715 | 720 | 104 | $64,069,917,761 | 926 |
| ACN · Accenture Plc Class A | 1,897 | 1,846 | 153 | 771 | 794 | 401 | $61,124,227,767 | 924 |
| XLE · Energy Select Sector SPDR Fund | 2,039 | 2,013 | 135 | 778 | 847 | 214 | $23,491,918,375 | 913 |
| TGT · TARGET CORP COM | 1,887 | 1,849 | 182 | 727 | 678 | 140 | $51,273,060,897 | 909 |
| PH · PARKER-HANNIFIN CORP COM | 1,976 | 1,919 | 158 | 749 | 699 | 111 | $108,283,494,383 | 907 |
| CL · COLGATE PALMOLIVE CO COM | 2,015 | 1,959 | 166 | 728 | 726 | 102 | $61,463,829,934 | 894 |
| MMM · 3M CO COM | 2,234 | 2,186 | 166 | 722 | 856 | 100 | $62,649,613,179 | 888 |
| LITE · LUMENTUM HLDGS INC COM | 1,318 | 1,279 | 363 | 523 | 326 | 136 | $70,461,674,121 | 886 |
| HWM · HOWMET AEROSPACE INC COM | 1,603 | 1,561 | 211 | 674 | 491 | 84 | $97,885,612,166 | 885 |
| MUB · ISHARES TR | 1,640 | 1,617 | 95 | 787 | 510 | 76 | $40,011,418,836 | 882 |
| QQQM · INVESCO EXCH TRADED FD TR II | 1,355 | 1,340 | 205 | 676 | 312 | 42 | $39,350,673,173 | 881 |
| KMI · KINDER MORGAN INC DEL COM | 1,829 | 1,788 | 114 | 765 | 665 | 117 | $49,500,351,009 | 879 |
| FDX · FEDEX CORP COM | 1,957 | 1,911 | 117 | 761 | 708 | 193 | $59,752,446,323 | 878 |
| VNQ · Vanguard Real Estate | 1,803 | 1,782 | 120 | 757 | 621 | 92 | $21,969,015,748 | 877 |
| VRTX · Vertex Pharmaceuticals Incorporated | 1,756 | 1,702 | 171 | 706 | 620 | 109 | $119,724,941,588 | 877 |
| TT · TRANE TECHNOLOGIES PLC SHS | 1,820 | 1,771 | 163 | 712 | 588 | 90 | $94,081,820,640 | 875 |
| F · FORD MTR CO COM | 1,733 | 1,696 | 158 | 713 | 619 | 132 | $36,269,470,440 | 871 |
| BNY · BANK OF NY MELLON CORP COM | 1,879 | 1,827 | 204 | 665 | 707 | 89 | $83,097,380,424 | 869 |
| SCHG · Schwab U.S. Large-Cap Growth ETF | 1,666 | 1,645 | 120 | 744 | 548 | 75 | $32,380,153,566 | 864 |
| PGR · Progressive Corporation | 1,820 | 1,773 | 177 | 686 | 709 | 127 | $110,909,159,176 | 863 |
| SCHF · SCHWAB STRATEGIC TR | 1,663 | 1,642 | 123 | 740 | 536 | 51 | $39,614,782,513 | 863 |
| WMB · WILLIAMS COS INC COM | 1,828 | 1,777 | 135 | 724 | 663 | 119 | $81,607,331,910 | 859 |
| WELL · WELLTOWER INC COM | 1,593 | 1,546 | 185 | 670 | 481 | 82 | $160,720,612,380 | 855 |
| SPGI · S&P Global,Inc. | 2,019 | 1,964 | 154 | 699 | 891 | 248 | $105,389,626,743 | 853 |
| TRV · TRAVELERS COMPANIES INC COM | 1,854 | 1,811 | 171 | 681 | 624 | 105 | $61,070,111,547 | 852 |
| HPE · HEWLETT PACKARD ENTERPRISE CO COM | 1,440 | 1,403 | 386 | 463 | 416 | 73 | $53,200,028,375 | 849 |
| IVW · iShares S&P 500 Growth ETF | 2,129 | 2,103 | 158 | 690 | 795 | 70 | $54,891,191,787 | 848 |
| AMT · American Tower Corporation | 1,750 | 1,704 | 157 | 688 | 668 | 152 | $72,078,959,668 | 845 |
| MCK · MCKESSON CORP COM | 2,010 | 1,961 | 139 | 706 | 803 | 179 | $79,792,192,499 | 845 |
| XLV · Health Care Select Sector SPDR Fund | 1,857 | 1,830 | 165 | 679 | 692 | 117 | $29,599,799,572 | 844 |
| HDV · ISHARES TR | 881 | 868 | 69 | 775 | 15 | 48 | $6,207,596,884 | 844 |
| ALL · ALLSTATE CORP COM | 1,750 | 1,709 | 168 | 672 | 536 | 109 | $50,471,691,396 | 840 |
| ELV · Elevance Health, Inc. | 1,609 | 1,570 | 246 | 593 | 546 | 104 | $76,771,486,920 | 839 |
| XLF · Financial Select Sector SPDR Fund | 1,894 | 1,864 | 149 | 686 | 704 | 101 | $39,571,688,326 | 835 |
| MPC · MARATHON PETE CORP COM | 1,945 | 1,901 | 151 | 684 | 714 | 94 | $56,000,612,417 | 835 |
| SNOW · SNOWFLAKE INC COM SHS | 1,458 | 1,412 | 310 | 520 | 477 | 138 | $70,061,790,359 | 830 |
| TMUS · T-Mobile US,Inc. | 1,661 | 1,613 | 148 | 681 | 639 | 209 | $78,222,291,220 | 829 |
| VCSH · VANGUARD SCOTTSDALE FDS | 1,474 | 1,457 | 86 | 743 | 437 | 84 | $28,606,077,465 | 829 |
| VST · VISTRA CORP COM | 1,405 | 1,366 | 206 | 622 | 417 | 126 | $45,135,537,842 | 828 |
| MAR · MARRIOTT INTL INC NEW CL A | 1,746 | 1,700 | 181 | 646 | 554 | 83 | $59,915,838,371 | 827 |
| MDLZ · Mondelez International,Inc. Class A | 1,898 | 1,844 | 121 | 705 | 764 | 118 | $64,362,901,052 | 826 |
| LHX · L3HARRIS TECHNOLOGIES INC COM | 1,692 | 1,642 | 124 | 702 | 572 | 163 | $47,542,330,479 | 826 |
| FTNT · FORTINET INC COM | 1,574 | 1,532 | 337 | 489 | 561 | 95 | $77,189,893,468 | 826 |
| XLI · SELECT SECTOR SPDR TR | 1,654 | 1,628 | 180 | 645 | 497 | 91 | $28,470,219,019 | 825 |
| EOG · EOG RES INC COM | 1,637 | 1,593 | 151 | 672 | 592 | 127 | $65,696,034,980 | 823 |
| COHR · COHERENT CORP COM | 1,310 | 1,269 | 322 | 501 | 367 | 121 | $66,933,523,159 | 823 |
| HOOD · ROBINHOOD MKTS INC | 1,386 | 1,347 | 253 | 568 | 406 | 142 | $61,411,934,646 | 821 |