Skip to content

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 16:22:41 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
EZPW · EZCORP INC313305567911738$2,423,939,703135
SDRL · SEADRILL LIMITED238230311046038$2,311,591,245135
MANE · VERADERMICS INC16415794411914$4,173,583,168135
CEVA · CEVA INC21020368674920$1,177,828,435135
IMTM · iShares MSCI Intl Momentum Factor ETF236230301046125$3,387,008,619134
FXI · ISHARES TR326325369811558$4,621,691,641134
VIST · VISTA ENERGY S.A.B. DE C.V. SPONSORED ADS22522342926641$3,778,465,836134
JJSF · J & J SNACK FOODS CORP COM25124240948136$1,101,525,147134
FV · FIRST TR EXCHANGE TRADED FD355352488614115$2,524,104,241134
AIN · ALBANY INTL CORP25725041938621$2,218,065,991134
DGII · DIGI INTL INC281273449010715$2,963,604,817134
SLDE · SLIDE INS HLDGS INC21821056785425$1,121,995,446134
EFC · ELLINGTON FINANCIAL INC24824236985825$875,173,957134
ARQT · ARCUTIS BIOTHERAPEUTICS INC272263399510036$3,446,240,397134
IBTG · ISHARES TR3193152211211722$1,858,729,980134
BTBT · BIT DIGITAL INC22221445894830$338,931,110134
JAN · JANUS LIVING INC CL A 116215979551929$2,374,734,988134
NSSC · NAPCO SEC TECHNOLOGIES INC COM258249271069137$1,370,772,035133
DYN · DYNE THERAPEUTICS INC COM24523644897628$4,229,916,227133
PSO · PEARSON PLC SPONSORED ADR211210261073814$424,841,665133
NXE · NEXGEN ENERGY LTD COM27526937968041$3,125,548,540133
IXC · ISHARES TR336332369710444$990,462,097133
IYE · ISHARES TR329327369710042$806,570,268133
DHC · DIVERSIFIED HEALTHCARE TR24023038956329$1,912,956,474133
SHO · SUNSTONE HOTEL INVS INC NEW27426447869919$2,219,396,420133
FIGS · FIGS INC CLASS A24023244896945$1,596,072,886133
GRC · GORMAN RUPP CO COM24824047857121$1,529,360,069132
GBTG · GLOBAL BUSINESS TRAVEL GROUP COM CL A19018060723138$3,087,952,339132
KT · KT CORP SPONSORED ADR245241321008143$2,914,825,847132
CHT · CHUNGHWA TELECOM CO LTD SPON ADR NEW11222216251074818$902,057,950132
EVTR · EATON VANCE TOTAL RETURN BOND ETF187183271053918$4,648,472,990132
DNN · DENISON MINES CORP28527938946746$1,569,639,191132
PJUN · INNOVATOR ETFS TRUST1951944092338$758,075,014132
EWU · ISHARES TR MSCI UK ETF NEW27827634987736$2,829,416,861132
APOG · APOGEE ENTERPRISES INC23723046866128$892,563,409132
BBD · BANCO BRADESCO S A296292409211035$4,134,212,186132
PHR · PHREESIA INC22721938946054$598,276,409132
UFPT · UFP TECHNOLOGIES INC27927038949533$2,522,416,540132
FEOE · RBB FUND TRUST15715625107126$1,201,228,484132
AGIO · AGIOS PHARMACEUTICALS INC23823035976632$2,451,840,513132
CTO · CTO REALTY GROWTH INC219213321004211$537,007,399132
GOOGM · ALPHABET INC134128132000$8,676,688,759132
BNTX · BIONTECH SE SPONSORED ADS28327737947231$4,362,080,331131
PFFA · ETFIS SER TR I205205301014219$424,639,071131
ALLO · ALLOGENE THERAPEUTICS INC20920432994930$651,988,534131
SKWD · SKYWARD SPECIALTY INS GROUP24423637948932$2,306,563,854131
CMPS · COMPASS PATHWAYS PLC22422259724929$1,277,902,765131
VERX · VERTEX INC22921945867038$859,241,756131
HOPE · HOPE BANCORP INC26325433986821$1,624,453,384131
VPG · VISHAY PRECISION GROUP INC21320877546118$1,665,714,980131
GLBE · GLOBAL-E ONLINE LTD NPV23122435967041$3,861,407,989131
FLXR · TCW ETF TRUST174171261053012$2,629,283,776131
BPRE · BLUEROCK PVT REAL ESTATE FD3113082710414839$1,010,613,549131
PDM · PIEDMONT REALTY TRUST INC25324234977933$1,067,215,154131
TR · TOOTSIE ROLL INDS INC23222342896933$508,764,916131
CDNL · CARDINAL INFRASTRUCTURE GR A15715174572410$2,018,231,729131
CGGE · CAPITAL GROUP GLOBAL EQUITY183179261053014$2,771,701,607131
EWW · iShares MSCI Mexico ETF25925944868741$1,261,679,994130
YELP · YELP INC CL A293281399112355$1,466,490,487130
VIPS · VIPSHOP HLDGS LTD SPONSORED ADS A286276409011830$3,333,180,858130
UTL · UNITIL CORP COM24523534967127$808,915,201130
NHC · NATIONAL HEALTHCARE CORP COM25024036947426$2,162,454,269130
RCUS · ARCUS BIOSCIENCES INC23122343876324$3,781,046,896130
CMPR · CIMPRESS PLC21020145855314$2,170,524,287130
PGY · PAGAYA TECHNOLOGIES LTD22121454766345$589,831,001130
NEXT · NEXTDECADE CORP21020337934835$820,246,593130
SENEA · SENECA FOODS CORP NEW22121343875621$699,234,151130
GWX · SPDR INDEX SHS FDS26626231998418$606,697,839130
CRSR · CORSAIR GAMING INC22121549815033$396,294,461130
DXPE · DXP ENTERPRISES INC25324537936918$1,972,910,284130
STC · STEWART INFORMATION SVCS COR25024132988028$1,966,678,157130
ASST · STRIVE INC16916355752121$448,804,897130
UAMY · UNITED STATES ANTIMONY CORP24023450805844$653,195,755130
WTM · WHITE MTNS INS GROUP LTD356348349614646$4,568,335,981130
ICF · ISHARES TR372367349611721$1,340,542,605130
ARRY · ARRAY TECHNOLOGIES, INC.26125133978232$1,492,385,587130
LXU · LSB INDS INC20019448825036$542,861,400130
CAIE · CALAMOS ETF TR16916536942415$581,864,232130
VPLS · VANGUARD CORE PLUS BOND ETF1731733397209$939,120,244130
IMAX · IMAX CORP25624539917238$2,023,757,835130
NXRT · NEXPOINT RESIDENTIAL TR INC23122140905319$575,824,975130
GCT · GIGACLOUD TECHNOLOGY INC22021332986649$756,526,006130
HLIT · HARMONIC INC259252527810241$1,522,876,730130
UMAC · UNUSUAL MACHS INC18217780504030$665,246,983130
BUSE · FIRST BUSEY CORP25925138926826$1,643,653,358130
AGL · AGILON HEALTH INC17817294363410$1,723,587,652130
ORLA · ORLA MNG LTD NEW21420655755436$2,153,459,310130
GERN · GERON CORP26024933966230$610,462,320129
SG · SWEETGREEN INC23722842875433$845,509,168129
DJT · TRUMP MEDIA & TECHNOLOGY32832147827353$493,930,040129
HAPN · HAPPEN INC COM NEW24523436937539$2,164,498,424129
IYM · ISHARES TR27427244856220$799,695,168129
NULV · NUSHARES ETF TR280273281018523$1,784,391,365129
ENOV · ENOVIS CORPORATION25324441888943$1,454,174,550129
UMH · UMH PPTYS INC259250271028036$977,920,408129
VSTS · VESTIS CORPORATION28327651789735$1,877,840,272129
SNDX · SYNDAX PHARMACEUTICALS INC24223434957739$2,363,292,442129
NIC · NICOLET BANKSHARES INC25424647828432$2,172,194,301129
SFL · SFL CORP LTD22421836935529$591,497,312129
VERA · VERA THERAPEUTICS INC220211271026637$3,340,145,850129