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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 10:49:49 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
ARLO · ARLO TECHNOLOGIES INC261252271157842$1,478,354,194142
HMN · HORACE MANN EDUCATORS CORP NEW COM261251391027629$2,178,982,135141
MICC · MAGNUM ICE CREAM CO NV ORD SHS485477627920174$4,653,699,396141
NICE · NICE LTD SPONSORED ADR320313459613173$3,199,819,288141
UTZ · UTZ BRANDS INC COM CL A235228401015632$583,832,549141
XYLD · GLOBAL X FDS276274221199220$1,251,948,590141
ARI · APOLLO COML REAL ESTATE FIN28527663788447$865,868,152141
HAYW · HAYWARD HLDGS INC2842753610511252$3,828,590,990141
HTFL · HEARTFLOW INC19318650913724$2,189,067,064141
FG · F&G ANNUITIES & LIFE INC32531850918659$3,459,321,360141
KYMR · KYMERA THERAPEUTICS INC27726645968426$11,090,898,496141
REPX · RILEY EXPLORATION PERMIAN IN19819250913321$495,508,671141
NESR · NATIONAL ENERGY SERVICES REU22622062796625$2,093,648,864141
MRX · MAREX GROUP PLC21521051905339$3,405,817,590141
IXJ · iShares Global Healthcare ETF30530346947526$2,736,877,059140
FTRE · FORTREA HLDGS INC COMMON STOCK337324429811037$1,738,807,297140
LBTYA · LIBERTY GLOBAL LTD29728446949736$1,947,326,432140
TBBK · BANCORP INC DEL291283391019929$2,506,048,686140
VRP · INVESCO EXCH TRADED FD TR II272269241167015$1,846,111,148140
MCHI · ISHARES TR MSCI CHINA ETF291284381027536$2,354,481,596140
SIVR · ABRDN SILVER ETF TRUST3543532911112062$937,272,600140
ROCK · GIBRALTAR INDS INC24523750908133$1,393,261,490140
TNDM · TANDEM DIABETES CARE INC27426745959146$1,188,509,749140
THRO · BLACKROCK ETF TRUST496488548632632$6,621,055,766140
OFG · OFG BANCORP26225447938325$2,031,059,176140
VRDN · VIRIDIAN THERAPEUTICS INC21420644965056$2,501,050,089140
TNK · TEEKAY TANKERS LTD CLASS A244240311097129$1,289,663,483140
VAL · VALARIS LTD337326419814163$4,560,124,933139
MNDY · MONDAY COM LTD SHS274263588110791$2,333,951,202139
NAVI · NAVIENT CORPORATION COM25624545947733$827,937,997139
MIAX · MIAMI INTL HLDGS INC COM20720046934641$2,681,367,885139
VTEC · VANGUARD CALIF TAX FREE FDS21221049903017$954,599,145139
ABR · ARBOR REALTY TRUST INC299291341059946$635,062,734139
JBI · JANUS INTERNATIONAL GROUP IN22621951885529$696,419,137139
DEA · EASTERLY GOVT PPTYS INC25424641986717$917,593,764139
HUBG · HUB GROUP INC288278459410440$2,766,748,805139
TARS · TARSUS PHARMACEUTICALS INC256247361038534$2,978,768,126139
HNI · HNI CORP COM27426747918957$2,558,494,155138
FLTR · VANECK ETF TRUST255252291098129$1,490,160,789138
BIP · BROOKFIELD INFRASTRUCTURE PA3543471911910419$9,488,039,591138
PZZA · PAPA JOHNS INTL INC25925344947533$1,382,131,877138
THRM · GENTHERM INC25624739997023$1,109,021,644138
SMA · SMARTSTOP SELF STORAG REIT I261251341048729$1,669,569,631138
BVN · COMPANIA DE MINAS BUENAVENTU276270399910130$3,325,681,566138
BBT · BEACON FINANCIAL CORP.294286341049133$2,347,311,367138
PRLB · PROTO LABS INC277268371019125$1,829,018,249138
USLM · UNITED STS LIME & MINERALS I23522844946645$978,293,305138
WLY · WILEY JOHN & SONS INC26626049897833$2,029,464,936138
XERS · XERIS BIOPHARMA HOLDINGS INC240231321066528$857,018,982138
MCRI · MONARCH CASINO & RESORT INC25825145938528$1,523,647,895138
CLOI · VANECK ETF TRUST19819543953817$917,251,991138
RAAX · VANECK ETF TRUST16716750882114$750,676,036138
HIMU · BLACKROCK ETF TRUST236231351037628$1,280,137,739138
TSHA · TAYSHA GENE THERAPIES INC20820040984122$2,058,534,124138
ESRT · Empire State Realty Trust, Inc.228220341035128$776,679,090137
EBND · SPDR Bloomberg Emerging Markets Local Bond ETF24524138996326$1,937,062,447137
SPMB · SPDR Portfolio Mortgage Backed Bond ETF25825639988323$6,296,937,420137
ICL · ICL GROUP LTD SHS220213361015838$983,628,326137
PD · PAGERDUTY INC COM25824952858142$704,936,657137
BLFS · BIOLIFE SOLUTIONS INC COM NEW21620953845425$1,395,975,638137
IYJ · ISHARES TR34433739989531$1,079,405,161137
ADMA · ADMA BIOLOGICS INC322311479014885$1,702,567,469137
KNG · FIRST TR EXCHANGE-TRADED FD3113072211512919$1,888,588,373137
FSUN · FIRSTSUN CAP BANCORP16515555822121$955,586,276137
CHH · CHOICE HOTELS INTL INC3313223710012441$3,797,576,444137
WGS · GENEDX HOLDINGS CORP22421652855971$2,167,597,737137
EMA · EMERA INC220212321054519$8,688,302,751137
TTI · TETRA TECHNOLOGIES INC DEL246237351027328$1,541,820,517137
LEN-B · LENNAR CORP CL B26025338996124$697,762,838137
NPKI · NPK INTERNATIONAL INC256246371008526$1,240,963,126137
ARXS · ARXIS INC139135137000$2,746,981,329137
RQIRT · COHEN & STEERS QUALITY INCOM140139137000$409,628137
BETA · BETA TECHNOLOGIES INC COM SHS CL A18918369672026$1,917,082,637136
KFRC · KFORCE INC COM23722946907015$804,118,337136
FBT · FIRST TR EXCHANGE-TRADED FD342338568010325$2,020,519,126136
RPG · INVESCO EXCHANGE TRADED FD T32131854829119$1,076,465,395136
ASTH · ASTRANA HEALTH INC20920355814917$1,489,376,038136
AZTA · AZENTA INC24924341958053$1,281,551,312136
BLOK · AMPLIFY ETF TR27627345915720$614,983,607136
LKFN · LAKELAND FINL CORP25524841956921$1,297,576,710136
HCSG · HEALTHCARE SVCS GROUP INC274264449210430$1,754,398,068136
ICFI · ICF INTL INC23522738985953$1,327,295,991136
FGD · FIRST TR EXCHANGE-TRADED FD208205341024017$894,632,333136
ETD · ETHAN ALLEN INTERIORS INC21620757795448$481,558,226136
SLS · SELLAS LIFE SCIENCES GROUP I19318659772727$1,079,813,260136
ALM · ALMONTY INDUSTRIES INC18017471653034$2,045,588,449136
STUB · STUBHUB HOLDINGS INC CLASS A19819385513330$3,661,647,967136
TPB · TURNING PT BRANDS INC COM23022340966549$1,698,311,061136
MAGS · LISTED FDS TR26626456808134$1,632,885,137136
ARKG · ARK ETF TR27427374624921$1,477,645,273136
ACT · ENACT HLDGS INC COM250241301057932$1,359,364,568135
BRZE · BRAZE INC246235321037343$2,171,566,269135
OCUL · OCULAR THERAPEUTIX INC262254291068038$2,034,341,588135
FNDC · SCHWAB STRATEGIC TR307302261099219$1,587,958,373135
SILA · SILA REALTY TRUST INC26625576598080$1,118,596,713135
EMBC · EMBECTA CORP32231456797574$164,629,907135
EVLV · EVOLV TECHNOLOGIES HLDNGS IN26125142936740$702,715,091135
FCF · FIRST COMWLTH FINL CORP PA266259261097318$1,624,059,840135
AVNS · AVANOS MED INC28627577587049$1,082,758,834135
WLDN · WILLDAN GROUP INC24623840958049$1,067,006,858135