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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 2026-10-11 10:49:18 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
XHB · SPDR S&P Homebuilders ETF322319591008343$2,106,248,526159
BHVN · BIOHAVEN LTD296287501098732$2,099,395,439159
AVPT · AVEPOINT INC COM CL A253245401196742$1,585,512,694159
AMX · AMERICA MOVIL SAB DE CV SPON ADS RP CL B352341451149531$4,367,753,167159
PUMP · PROPETRO HLDG CORP269260551046442$2,078,885,529159
TOWN · TOWNEBANK PORTSMOUTH VA300292381217226$2,080,965,381159
TDOC · TELADOC HEALTH INC347334551048939$1,289,856,552159
BCC · BOISE CASCADE CO DEL3353265110813037$2,622,429,616159
GME · GAMESTOP CORP3763675110811448$3,521,427,163159
SBCF · SEACOAST BKG CORP FLA304293371228329$2,931,016,179159
CENTA · CENTRAL GARDEN & PET CO285278381218024$1,882,767,201159
DFAW · DIMENSIONAL ETF TRUST214211201393811$766,563,982159
ECPG · ENCORE CAP GROUP INC28728061989118$2,085,430,811159
PHIN · PHINIA INC3933804711213039$3,106,986,988159
HUN · HUNTSMAN CORP3563435910014163$1,640,565,072159
PLAB · PHOTRONICS INC3163095610312071$1,784,689,178159
IBDX · ISHARES TR229227181413411$1,350,592,248159
NWBI · NORTHWEST BANCSHARES INC COM315306341247925$1,552,373,873158
NAVN · NAVAN INC CL A20720292663033$3,827,952,305158
EPAC · ENERPAC TOOL GROUP CORP CL A COM277269471117927$1,833,657,947158
SLAB · SILICON LABORATORIES INC COM3553402912912855$6,736,007,498158
FRME · FIRST MERCHANTS CORP COM308296301288723$2,038,295,895158
BOKF · BOK FINL CORP COM NEW306298521068337$3,169,586,240158
XHR · XENIA HOTELS & RESORTS INC COM298288491099125$1,790,109,975158
STN · STANTEC INC COM292283291298843$4,962,477,152158
AXGN · AXOGEN INC253246491096618$2,429,153,832158
ALG · ALAMO GROUP INC271263481107837$1,961,225,135158
CAKE · CHEESECAKE FACTORY INC3433305110711742$4,046,539,270158
DFEV · DIMENSIONAL ETF TRUST291289361229012$1,549,900,220158
DFSU · DIMENSIONAL ETF TRUST27927828130788$1,706,624,150158
CSW · CSW INDUSTRIALS INC3553443812013328$4,556,358,055158
JOE · ST JOE CO320311361229833$3,135,164,079158
WES · WESTERN MIDSTREAM PARTNERS L371367431159616$7,783,926,759158
CATY · CATHAY GEN BANCORP306295441148828$3,193,481,619158
BANC · BANC OF CALIFORNIA INC310302391199545$3,212,940,131158
MAIR · MADISON AIR SOLUTIONS COCLASS A159156158000$4,787,975,476158
DMXF · ISHARES TR265261331246017$972,905,068157
AXTA · AXALTA COATING SYS LTD COM3623464311415165$7,749,616,926157
FRPT · FRESHPET INC COM3183084910812758$3,755,481,100157
RTO · RENTOKIL INITIAL PLC SPONSORED ADR285283441139041$2,227,492,690157
RAMP · LIVERAMP HLDGS INC COM307297827510854$2,286,190,387157
FIW · FIRST TR EXCHANGE-TRADED FD319315341239824$960,350,373157
GSY · INVESCO ACTIVELY MANAGED EXC302300311269524$2,547,618,581157
GEF · GREIF INC284273411167932$1,767,516,431157
NTCT · NETSCOUT SYS INC3163045010710224$2,984,856,582157
TRMK · TRUSTMARK CORP290279451127428$2,154,980,812157
UNF · UNIFIRST CORP MASS3403264810912241$3,889,679,671157
HLIO · HELIOS TECHNOLOGIES INC285275571009323$2,861,641,907157
DCOR · DIMENSIONAL ETF TRUST24323933124558$2,281,068,440157
IVOO · Vanguard S&P Mid-Cap 400 ETF34534058989511$2,159,806,449156
WD · WALKER&DUNLOPINC266258471096038$1,607,923,657156
AEO · AMERICAN EAGLE OUTFITTERS INC COM3453335310313875$2,891,477,966156
IDYA · IDEAYA BIOSCIENCES INC COM28627764928834$3,803,696,593156
COLM · COLUMBIA SPORTSWEAR CO3263155510111434$1,614,785,261156
TBIL · RBB FD INC3173153412212135$3,252,090,736156
BIZD · VANECK ETF TRUST268266521047319$771,815,178156
BHRB · BURKE HERBERT FINL SVCS CORP20720162942717$643,908,279156
DFSI · DIMENSIONAL ETF TRUST24023919137603$777,814,912156
ROBO · EXCHANGE TRADED CONCEPTS TRU32131967895816$676,610,202156
PRVA · PRIVIA HEALTH GROUP INC3022924211410334$3,177,891,967156
IYT · ISHARES TR25825685715417$2,054,486,816156
PURR · HYPERLIQUID STRATEGIES177173115411126$946,059,852156
KMPR · KEMPER CORP COM29228662939847$1,538,183,146155
SUSC · ISHARES ESG AWARE USD CORPORATE BOND ETF3052992513011121$1,125,029,308155
DSGX · DESCARTES SYS GROUP INC COM3403293711814549$4,945,653,622155
NIO · NIO INC SPON ADS4234194810713663$1,384,015,721155
CURB · CURBLINE PPTYS CORP COM283272451108924$4,161,356,820155
ADPT · ADAPTIVE BIOTECHNOLOGIES CORP COM300290451108942$3,340,803,160155
FTSL · FIRST TR EXCHANGE-TRADED FD3042992513011325$1,630,740,490155
WAFD · WAFD INC289281551008927$2,395,228,137155
SATL · SATELLOGIC INC18718072832027$576,188,271155
SVC · SERVICE PPTYS TR21019862933261$843,780,092155
BOH · BANK HAWAII CORP3463344910610738$2,705,278,197155
PICK · ISHARES INC25425358975223$1,324,045,224155
HCI · HCI GROUP INC288281471088839$1,643,071,617155
JBS · JBS N.V.26826057988638$4,970,551,483155
FCEL · FUELCELL ENERGY INC224218104513823$1,481,819,027155
NHI · NATIONAL HEALTH INVS INC COM305290381169053$2,913,530,729154
CCC · CCC INTELLIGENT SOLUTIONS HLD COM356345619316582$3,215,784,358154
PRK · PARK NATL CORP COM273262351195321$1,770,277,338154
FUTU · FUTU HLDGS LTD SPON ADS CL A3203114411012696$4,187,165,132154
VIOO · VANGUARD S&P SMALL-CAP 600 ETF4084034510912418$1,985,787,097154
KNSA · KINIKSA PHARMACEUTICALS INTL P ORD SHS CL A26725968868126$2,992,750,296154
HOS · HELIX ENERGY SOLUTIONS GRP INC COM285278401148228$1,187,984,682154
SAM · BOSTON BEER INC CL A3303204311111382$1,530,784,315154
RPD · RAPID7 INC COM236228481065456$559,463,499154
GCOW · PACER FDS TR255252281266120$2,016,678,988154
FTGC · FIRST TR EXCHANGE TRAD FD VI274271301248436$2,190,197,230154
GUNR · FLEXSHARES TR317314401149225$5,591,252,153154
SMMD · ISHARES TR260257371176411$3,002,009,501154
FBK · FB FINL CORP294287401148126$2,246,191,668154
UTI · UNIVERSAL TECHNICAL INST INC263255481067631$2,642,375,403154
CGHM · CAPITAL GRP FIXED INCM ETF T19318933121227$2,992,205,115154
USXF · ISHARES TR3012954410910912$1,073,756,143153
LAUR · LAUREATE ED INC COMMON STOCK3393295010314855$4,849,363,262153
FEZ · SPDR INDEX SHS FDS3543485010312929$2,324,976,234153
BATRK · ATLANTA BRAVES HLDGS INC324314441097627$2,360,610,454153
AUGO · AURA MINERALS INC20619792614745$1,624,062,323153
REAL · THE REALREAL INC253244491046843$1,332,520,204153
GLNG · GOLAR LNG LTD3143063312010661$4,194,107,469153