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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 06:52:22 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
SLVM · SYLVAMO CORP333323471069037$1,499,118,143153
NTSK · NETSKOPE INC CL A20219371822943$2,099,015,946153
OTEX · OPEN TEXT CORP COM270258411118561$4,534,390,486152
BTG · B2GOLD CORP COM302295481048744$2,993,722,106152
NTST · NETSTREIT CORP269260381148024$3,182,076,549152
DES · WISDOMTREE TR3703673012213115$1,139,862,567152
FCN · FTI CONSULTING INC3793684410817771$4,567,015,802152
FWONA · LIBERTY MEDIA CORP DEL300291391137628$2,057,384,417152
CUBI · CUSTOMERS BANCORP INC298285371158923$2,664,451,508152
EXPO · EXPONENT INC3403323611615158$2,732,617,011152
DCO · DUCOMMUN INC DEL26925960928416$2,668,330,229152
GBDC · GOLUB CAP BDC INC3183152612610554$1,572,296,410152
FSLY · FASTLY INC2842725010289105$2,726,950,999152
SMMT · SUMMIT THERAPEUTICS INC24523854985933$1,980,025,045152
BSCV · INVESCO BULLETSHARES 2031 CORPORATE BOND ETF222220251273613$1,372,765,079152
CX · CEMEX SAB DE CV SPON ADR NEW3203104810310042$6,458,409,007151
GO · GROCERY OUTLET HLDG CORP COM24723765866745$1,114,932,591151
CRNX · CRINETICS PHARMACEUTICALS INC COM26825953987131$4,626,492,793151
TNET · TRINET GROUP INC COM27926958938428$2,178,382,492151
FTHI · FIRST TR EXCHANGE TRADED FD225224231285115$1,468,259,331151
FLYW · FLYWIRE CORPORATION23722952996225$2,255,053,523151
TRIP · TRIPADVISOR INC292283491028947$1,804,011,593151
AKR · ACADIA RLTY TR258247381136323$3,462,640,243151
JHMM · JOHN HANCOCK EXCHANGE TRADED298293361159116$4,142,076,291151
FBP · FIRST BANCORP CORPORATION3072964210910038$3,833,824,705151
FIXD · FIRST TRUST TCW OPPORTUNISTIC3173142412712827$2,566,435,962151
ATRC · ATRICURE INC251241491026223$1,467,697,673151
TS · TENARIS S A SPONSORED ADS28528151998130$2,131,316,772150
NUVB · NUVATION BIO INC COM CL A244237391115226$1,325,261,573150
ENR · ENERGIZER HLDGS INC COM285277461048037$1,457,288,592150
CNK · CINEMARK HLDGS INC COM310300599110925$3,751,989,244150
ANDE · ANDERSONS INC COM301293461049536$2,084,123,815150
LPL · LG DISPLAY CO LTD SPONS ADR REP190187461042315$302,472,439150
AUPH · AURINIA PHARMACEUTICALS INC COM282275451058024$1,338,669,597150
LBTYK · LIBERTY GLOBAL LTD276266371136833$1,239,256,401150
NATL · NCR ATLEOS CORPORATION3613474710310551$3,071,583,430150
PACS · PACS GROUP INC24023152985430$2,112,371,421150
MD · PEDIATRIX MEDICAL GROUP INC3042943811210430$2,116,916,397150
KAI · KADANT INC3273163211811625$4,112,205,070150
ACVA · ACV AUCTIONS INC259251401107849$1,182,420,994150
CLDX · CELLDEX THERAPEUTICS INC NEW254245441065721$3,163,042,051150
CDP · COPT DEFENSE PROPERTIES3273153511510930$4,608,135,137150
CXW · CORECIVIC INC27827067838733$2,628,751,683150
PPLI · PEOPLE INC340330539711946$3,180,253,977150
PRG · PROG HOLDINGS INC296283471039827$1,971,549,262150
UNIT · UNITI GROUP LLC27827063877730$2,590,495,799150
WKC · WORLD KINECT CORPORATION29428161899225$1,956,650,822150
AOM · ISHARES TR300297301209624$657,191,518150
FIVN · FIVE9 INC292282491009851$1,699,080,716149
FIZZ · NATIONAL BEVERAGE CORP COM259249461036631$768,698,824149
EFOR · EVERFORTH INC COM24723973766474$774,063,778149
LION · LIONSGATE STUDIOS CORP COM29328157928538$4,061,722,926149
TRAX · FIRST TRACKS BIOTHERAPEUTICS150143149000$685,820,544149
NEO · NEOGENOMICS INC26625754956342$2,112,773,523149
AVAH · AVEANNA HEALTHCARE HLDGS INC21620853965334$1,729,964,914149
PBH · PRESTIGE CONSMR HEALTHCARE I3193093711212473$2,544,376,897149
LXP · LXP INDUSTRIAL TRUST3163054710211633$3,021,899,440149
MSGE · MADISON SQUARE GARDEN ENTMT27726751987218$3,143,684,124149
HYS · PIMCO ETF TR269267381116516$864,312,597149
BEAM · BEAM THERAPEUTICS INC27726755947631$3,753,081,275149
OGC · OCEANAGOLD CORP154148149000$3,586,119,300149
NULG · NUVEEN ESG LARGE-CAP GROWTH ETF319312559310517$2,291,344,065148
BKE · BUCKLE INC COM295286291199854$1,327,813,548148
LLYVK · LIBERTY LIVE HOLDINGS INC COM SHS SER C32231255938825$6,496,084,526148
PGNY · PROGYNY INC COM311303628612145$2,253,672,756148
SPB · SPECTRUM BRANDS HLDGS INC NEW COM305295441049025$2,306,841,881148
PAYO · PAYONEER GLOBAL INC COM30028774749853$2,130,040,458148
TU · TELUS CORPORATION COM290281391098740$7,370,143,533148
JAVA · J P MORGAN EXCHANGE TRADED F276273311179022$6,377,167,072148
JPC · NUVEEN PFD & INCOME OPPORTUN332330351138329$519,136,771148
GEO · GEO GROUP INC NEW29128167819732$3,682,130,127148
ITB · ISHARES TR348345668211644$2,382,009,263148
VOYG · VOYAGER TECHNOLOGIES INC24223267815541$1,413,798,400148
OTF · BLUE OWL TECHNOLOGY FIN CORP192190481002822$2,038,071,995148
BUR · BURFORD CAPITAL LIMITED23522854944842$603,672,984148
AGNT · AGNT INC24123156925443$349,679,615148
CTS · CTS CORP27826853958920$1,834,579,736148
HESM · HESS MIDSTREAM LP285279351138135$4,307,635,537148
BULL · WEBULL CORP20820152964735$1,289,933,982148
MWH · SOLV Energy Inc17717186622423$4,422,315,538148
BKSY · BLACKSKY TECHNOLOGY INC22721970784626$840,538,732148
AMBQ · AMBIQ MICRO INC18417998503210$1,483,934,920148
BSCQ · INVESCO BULLETSHARES 2026 CORPORATE BOND ETF3973922112718627$2,972,923,827148
SFLR · INNOVATOR ETFS TRUST22622351975322$1,763,179,790148
GMAB · GENMAB A/S2922914510210030$2,805,209,980147
FELG · Fidelity Enhanced Large Cap Growth ETF248245391085713$2,647,030,594147
CLOA · iShares AAA CLO Active ETF249245451027116$1,438,828,567147
SCHI · Schwab 5-10 Year Corporate Bond ETF270269391086329$1,181,547,467147
FUN · SIX FLAGS ENTERTAINMENT CORP COM31230254938133$2,263,647,276147
ELVN · ENLIVEN THERAPEUTICS INC COM21320559884718$4,059,544,308147
TCOM · TRIP COM GROUP LTD ADS3193103411312260$6,054,364,848147
STRA · STRATEGIC ED INC COM2922854110610737$1,688,269,325147
GNL · GLOBAL NET LEASE INC COM NEW3423303411312046$1,475,163,253147
WVE · WAVE LIFE SCIENCES LTD SHS239227471005340$1,058,382,452147
PUK · PRUDENTIAL PLC ADR28228049989928$989,476,936147
PSI · INVESCO EXCHANGE TRADED FD T24624479684814$993,685,831147
CAR · AVIS BUDGET GROUP INC304292648310356$6,133,496,118147
ARKQ · ARK ETF TR30229757905820$646,939,740147
PEB · PEBBLEBROOK HOTEL TR29328353949319$2,772,971,912147
DNP · DNP SELECT INCOME FD INC331326261217528$448,583,313147