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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 2026-10-10 23:02:44 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
INDB · INDEPENDENT BK CORP MASS3533435011711332$3,401,748,600167
WT · WISDOMTREE INC3122995211510051$2,719,080,257167
DFAR · DIMENSIONAL ETF TRUST302300221458014$1,344,672,445167
ASH · ASHLAND INC3573446210512557$3,442,118,642167
SGOL · ETFS GOLD TR4674624012714960$2,430,773,583167
KOS · KOSMOS ENERGY LTD268260481196442$909,110,912167
HP · HELMERICH & PAYNE INC3753624612112749$3,350,158,772167
UAA · UNDER ARMOUR INC3773665511212555$1,363,531,329167
JIVE · JPMORGAN INTERNATIONAL VALUE ETF220217461213310$2,456,967,973167
AAMI · ACADIAN ASSET MANAGEMENT INC COM302292651019618$2,575,871,897166
HHH · HOWARD HUGHES HOLDINGS INC COM305297641029051$3,869,413,630166
WDS · WOODSIDE ENERGY GROUP LTD SPONSORED ADR307302351316547$601,167,573166
GPOR · GULFPORT ENERGY CORP COMMON SHARES290282421248658$3,583,824,402166
ONC · BEONE MEDICINES LTD SPONSORED ADS283275421246841$9,949,977,995166
MGNI · MAGNITE INC COM311303501169037$2,692,222,407166
DOCS · DOXIMITY INC CL A36034939127140105$2,647,413,418166
CTA · SIMPLIFY EXCHANGE TRADED FUN251250411256531$1,036,083,197166
KSS · KOHLS CORP3703625411212759$2,125,484,940166
INOD · INNODATA INC28727682849230$1,482,362,219166
ARR · ARMOUR RESIDENTIAL REIT INC COM SHS249240381274113$1,305,639,895165
NMZ · NUVEEN MUN HIGH INCOME OPPOR21321084812012$358,568,131165
FMB · FIRST TR EXCH TRADED FD III308305281378715$1,570,764,974165
UHAL-B · U HAUL HOLDING COMPANY3333225710810824$3,658,783,775165
TILE · INTERFACE INC3253175111411039$2,136,266,100165
FFBC · 1ST FINL BANCORP322313441219324$3,019,471,419165
SOC · SABLE OFFSHORE CORP245236651003942$525,238,730165
CELC · CELCUITY INC273264571087962$5,945,581,124165
WERN · WERNER ENTERPRISES INC271261631027331$2,983,618,138165
SKT · TANGER INC3583474112412231$4,253,558,712165
AESI · ATLAS ENERGY SOLUTIONS INC28527973927430$1,753,708,474165
NASA · TEMA SPACE INNOVATORS ETF168166164100$280,708,279165
TRN · TRINITY INDS INC343333471179628$2,624,874,724164
IPAR · INTERPARFUMS INC COM315307391259935$2,404,915,855164
TME · TENCENT MUSIC ENTMT GROUP SPON ADS3092954511910158$3,606,002,351164
RLAY · RELAY THERAPEUTICS INC COM260249491156431$4,582,625,233164
NWE · NORTHWESTERN ENERGY GROUP INC COM NEW3773653512913530$4,211,667,034164
WDFC · WD 40 CO COM3883794911512744$2,850,422,900164
EEFT · EURONET WORLDWIDE INC COM3633514911515244$2,808,931,985164
PAA · PLAINS ALL AMERN PIPELINE L4224193912510630$6,437,156,969164
ATAI · ATAIBECKLEY INC23923279852620$706,819,850164
BLBD · BLUE BIRD CORP3042945011410234$2,546,522,810164
BANR · BANNER CORP287278411237921$2,095,590,574164
GT · GOODYEAR TIRE & RUBBER CO3763634511913665$1,784,096,222164
BKU · BANKUNITED INC3383294511911732$3,555,011,786164
INGM · INGRAM MICRO HOLDING CORP22822270944515$6,494,665,127164
BILL · BILL HOLDINGS INC3413306010312762$3,547,030,189163
DK · DELEK US HLDGS INC NEW COM300292591049437$3,136,307,891163
NWN · NORTHWEST NAT HLDG CO COM320311331309440$1,684,143,245163
AGO · ASSURED GUARANTY LTD COM3703595610715455$3,306,086,148163
ALRM · ALARM COM HLDGS INC COM3143055311010835$2,265,722,715163
EWT · ISHARES INC MSCI TAIWAN ETF30530283808429$5,496,396,733163
CALY · CALLAWAY GOLF CO315307481159536$2,903,316,252163
LBRDK · LIBERTY BROADBAND CORP3563444012312371$3,771,977,006163
SHM · SPDR SERIES TRUST3973882913414724$3,070,958,294163
KWR · QUAKER HOUGHTON314301521119724$2,483,815,300163
UI · UBIQUITI INC3593496210114087$1,581,217,913163
GRBK · GREEN BRICK PARTNERS INC324315411229433$2,770,707,638163
ICUI · ICU MED INC288278431208330$3,820,043,951163
MGRC · MCGRATH RENTCORP274264361276923$2,723,383,898163
MBLY · MOBILEYE GLOBAL INC297288561078257$1,779,914,895163
PBI · PITNEY BOWES INC COM350337699312040$2,131,691,044162
NAT · NORDIC AMERICAN TANKERS LIMI273265551077221$655,527,875162
PGX · INVESCO EXCH TRADED FD TR II4134064711514151$2,296,077,975162
HTGC · HERCULES CAPITAL INC3333293013210246$830,049,284162
IBOC · INTERNATIONAL BANCSHARES COR302293361268626$3,362,346,167162
AIP · ARTERIS INC21120078844118$1,554,156,874162
PATK · PATRICK INDS INC3303214112111552$3,224,311,329162
OCFC · OCEANFIRST FINL CORP230223461163921$1,570,321,838162
GNR · SPDR INDEX SHS FDS288287351277337$3,433,314,161162
COTY · COTY INC3113015610610073$822,683,760162
SXI · STANDEX INTL CORP328315669610923$4,549,288,935162
SUPN · SUPERNUS PHARMACEUTICALS3343254311911435$2,800,329,694162
IRTC · IRHYTHM HOLDINGS INC COM305295411219141$4,239,374,214162
SA · SEABRIDGE GOLD INC COM165158162000$1,123,763,948162
YMM · FULL TRUCK ALLIANCE CO LTD SPONSORED ADS24523782795841$6,014,662,870161
ERAS · ERASCA INC COM256246591027828$5,127,410,908161
IAG · IAMGOLD CORP COM3193105510610241$6,039,219,229161
RCI · ROGERS COMMUNICATIONS INC CL B310300371249342$8,400,172,368161
DV · DOUBLEVERIFY HLDGS INC COM3173074911212060$1,776,675,817161
AEG · AEGON LTD AMER REG 1 CERT308302441175928$1,032,412,289161
INSP · INSPIRE MED SYS INC COM27526763987690$1,648,617,257161
FALN · ISHARES FALLEN ANGELS USD BOND ETF294291391228938$1,190,827,507161
GTLS · CHART INDS INC4314154012118569$10,465,172,149161
CTRI · CENTURI HOLDINGS INC25124462996629$3,210,949,478161
COLL · COLLEGIUM PHARMACEUTICAL INC279271411208529$1,416,988,569161
PRFZ · INVESCO EXCHANGE TRADED FD T36235750111929$1,340,994,993161
HWKN · HAWKINS INC3353264911210827$2,316,671,485161
BKD · BROOKDALE SR LIVING INC294286491129339$4,322,870,386161
KNF · KNIFE RIVER CORP COMMON STOCK3923773412613833$4,592,921,839160
ACHC · ACADIA HEALTHCARE COMPANY INC COM31430465959947$3,976,949,427160
HAE · HAEMONETICS CORP MASS COM3303195210812246$3,715,120,791160
CNA · CNA FINL CORP3113025110910335$13,242,967,076160
DORM · DORMAN PRODS INC3293205011012541$3,891,478,991160
ADUS · ADDUS HOMECARE CORP303295411199436$1,952,063,311160
DCH · DAUCH CORP308296451159832$1,304,360,021160
DAN · DANA INC3403305410612749$2,895,608,819160
SQM · SOCIEDAD QUIMICA Y MINERA DE C3153085310710045$2,840,452,019160
CON · CONCENTRA GROUP HOLDINGS PAR292282511098538$3,324,942,944160
LMUB · ISHARES TR184182481121110$1,919,661,141160
RXO · RXO, Inc.304293561038231$5,000,709,784159