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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 2026-10-08 23:22:51 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
KR · KROGER CO COM1,3191,289119536481183$29,132,827,980655
NXPI · NXP SEMICONDUCTORS N V COM1,2671,23219546042476$67,181,680,870655
ALAB · ASTERA LABS INC COM99396736628725785$61,203,842,344653
HSY · HERSHEY CO COM1,4161,379113538511177$22,842,997,557651
EME · EMCOR GROUP INC COM1,2511,22016348743176$34,306,953,449650
Q · QNITY ELECTRONICS INC COMMON STOCK1,3411,30423241544678$26,331,451,411647
DHI · D R HORTON INC COM1,2411,20217647041788$39,368,854,772646
GWW · WW GRAINGER INC COM1,3671,32815648843663$47,903,495,282644
CRDO · CREDO TECHNOLOGY GROUP HOLDING ORDINARY SHARES98596034230127774$35,868,612,845643
EPD · ENTERPRISE PRODS PARTNERS L1,5941,57078564446100$19,959,131,968642
MCO · MOODYS CORP COM1,4141,377138501529112$71,679,277,812639
NVS · NOVARTIS AG SPONSORED ADR1,6261,60511252758190$21,261,529,693639
ENB · ENBRIDGE INC COM1,5231,4839853952285$58,408,299,227637
CTAS · CINTAS CORP COM1,4341,394128509587138$46,171,491,846637
MBB · iShares MBS ETF1,0301,0177755924979$35,144,920,338636
CTVA · CORTEVA INC COM1,5001,458118517533101$50,252,663,264635
APO · APOLLO GLOBAL MGMT INC COM1,1791,14813549937789$45,752,553,702634
ABNB · Airbnb, Inc. Class A1,3141,271146486499139$51,638,505,127632
SOXX · ISHARES TR1,1901,17129733534945$22,098,352,752632
TTWO · TAKE-TWO INTERACTIVE SOFTWARE COM1,1221,085172459320109$43,424,653,760631
IWR · iShares Russell Midcap ETF1,6001,57912250850753$48,007,922,495630
OXY · OCCIDENTAL PETE CORP1,2451,218125505375181$40,516,522,855630
MSI · MOTOROLA SOLUTIONS INC COM NEW1,4741,435117513601133$61,075,865,371630
HAL · HALLIBURTON CO COM1,2081,177135492384128$24,959,258,653627
GOVT · iShares U.S. Treasury Bond ETF9629489752923066$42,646,925,219626
MPWR · MONOLITHIC PWR SYS INC COM1,2491,20820741946480$65,602,216,215626
KKR · KKR & CO INC1,2861,241119506472123$50,218,242,069625
IVE · iShares S&P 500 Value ETF1,7701,74712149974971$39,086,171,457620
ET · ENERGY TRANSFER L P1,3041,2817554534974$21,106,013,426620
SPDW · SPDW1,2371,2199152841853$31,474,598,947619
CFG · CITIZENS FINL GROUP INC COM1,1011,07214547432172$28,599,685,219619
SRE · SEMPRA COM1,2881,24510651343598$55,931,721,426619
SPOT · SPOTIFYTECHNOLOGYSAF1,2541,217153459491176$62,265,870,631612
EW · EDWARDS LIFESCIENCES CORP COM1,3381,296142470470101$47,115,272,061612
ES · EVERSOURCE ENERGY COM1,1271,09313547732284$23,453,020,701612
AJG · GALLAGHER ARTHUR J & CO COM1,2971,256147464484106$54,686,492,556611
SCHA · Schwab U.S. Small-Cap ETF1,3551,33813147950839$9,043,258,000610
KHC · KRAFT HEINZ CO COM1,1191,093127483315110$25,215,221,024610
MRSH · Marsh & McLennan Companies,Inc.1,5071,463125482664168$73,087,129,368607
JBL · JABIL INC COM1,1231,09322338337681$39,213,402,031606
RSG · REPUBLIC SVCS INC COM1,3101,27296510494114$38,613,963,980606
WBD · WARNER BROS DISCOVERY INC COM SER A1,3181,2819650944198$51,860,847,088605
IEF · ISHARES TR1,1451,12913447138998$43,378,752,620605
AME · AMETEK INC COM1,2011,16011548940372$49,680,474,102604
TEL · TE CONNECTIVITY PLC ORD SHS1,2881,252131472456110$55,350,440,302603
QUAL · ISHARES MSCI USA QUALITY FACTOR ETF1,6481,625108495763110$37,481,193,483603
YUM · YUM BRANDS INC COM1,4381,400115488497119$38,960,802,338603
STT · STATE STR CORP COM1,2601,22018741443271$42,592,474,135601
REGN · REGENERON PHARMACEUTICALS COM1,3441,302115485544168$57,102,360,522600
VTIP · VANGUARD MALVERN FDS9569448851022849$11,137,568,873598
SCCO · SOUTHERN COPPER CORP86684010549322270$13,410,400,821598
AON · AON PLC SHS CL A1,2651,228126471457114$63,860,729,584597
EBAY · EBAY INC. COM1,2921,256158439491110$45,734,927,523597
JPST · J P MORGAN EXCHANGE TRADED F1,2011,1887551947982$25,569,256,511594
SHY · ISHARES TR1,2171,2008550844192$20,040,667,980593
DYNF · BLACKROCK ETF TRUST89287810948323845$38,746,913,909592
RCL · ROYAL CARIBBEAN GROUP COM1,2321,191151440456101$75,361,235,721591
AVEM · Avantis Emerging Markets Equity ETF1,01399612946132440$23,637,202,988590
FANG · DIAMONDBACK ENERGY INC COM1,1951,157124466404129$35,405,196,457590
IRM · IRON MTN INC DEL COM1,1731,13714344638660$32,441,349,304589
EXPE · EXPEDIA GROUP INC COM NEW1,1311,096132457377111$30,887,278,682589
SPYV · SPDR SER TR1,2201,2049349642153$29,808,133,293589
BIL · SPDR Bloomberg 1-3 Month T-Bill ETF1,3001,283110478595133$25,062,380,259588
TROW · PRICE T ROWE GROUP INC COM1,1701,13815243641179$21,626,215,799588
VGIT · Vanguard Intermediate-Term Treasury ETF9829709149625072$31,968,443,675587
ARM · ARM HOLDINGS PLC96794730228525986$34,985,911,970587
A · AGILENT TECHNOLOGIES INC COM1,1351,09913445336078$34,581,830,320587
TPR · TAPESTRY INC COM1,1021,074121463378104$29,075,913,224584
VGSH · Vanguard Short-Term Treasury ETF1,0971,08310447936469$19,353,439,504583
IBKR · INTERACTIVE BROKERS GROUP INC COM CL A1,1201,08718639738566$33,785,754,464583
XLY · SELECT SECTOR SPDR TR1,3151,29512245744897$17,970,621,596579
TDG · TRANSDIGM GROUP INC COM1,1481,11213244637095$69,987,164,009578
VEEV · VEEVA SYS INC CL A COM1,0661,031191385363154$25,687,993,794576
IDXX · IDEXX LABS INC COM1,3061,271102474511106$39,087,161,859576
EIX · EDISON INTL COM1,0801,04510447132985$26,915,377,700575
MTUM · iShares MSCI USA Momentum Factor ETF1,2111,19321036344566$24,718,410,538573
EFG · ISHARES MSCI EAFE GROWTH ETF1,0631,0499347929251$15,037,173,299572
XYZ · BLOCK INC CL A1,0851,05417739533390$33,629,786,317572
DIA · STATE STR SPDR DOW JONES IND1,4551,44015042142168$16,080,315,598571
ADM · ARCHER DANIELS MIDLAND CO COM1,1641,12912844338184$32,110,189,180571
PPL · PPL CORP COM1,0371,00611345829274$24,958,916,018571
IUSB · iShares Core Total USD Bond Market ETF8628517249718462$41,636,121,939569
DASH · DOORDASH INC CL A1,0501,016158410356130$70,703,749,010568
PSA · PUBLIC STORAGE COM1,1281,09212044737086$48,600,359,660567
DRI · DARDEN RESTAURANTS INC COM1,0871,04813743032989$23,194,648,559567
HPQ · HP INC COM1,0871,05613942833388$18,392,578,173567
BIV · Vanguard Intermediate-Term Bond ETF1,0251,0076949631364$18,981,687,813565
UL · UNILEVER PLC SPON ADR NEW1,1771,16211345143686$15,484,091,043564
HBAN · HUNTINGTON BANCSHARES INC COM1,1541,120103460384102$31,107,899,144563
DFAC · DIMENSIONAL ETF TRUST1,2231,2097049336828$38,288,678,627563
AMP · AMERIPRISE FINL INC COM1,3951,3589746353895$35,900,694,459560
BKR · BAKER HUGHES COMPANY CL A1,1531,117114446438121$53,631,842,657560
HCA · HCA Healthcare Inc1,3431,306110448571187$51,224,641,176558
UAL · UNITED AIRLS HLDGS INC COM1,0711,042194364347103$39,455,031,597558
DTE · DTE ENERGY CO COM1,0371,00511943827674$25,737,271,370557
SLV · iShares Silver Trust1,4281,40978478498222$7,718,168,293556
POWL · POWELL INDS INC5865721504062041$7,852,396,134556
CNC · CENTENE CORP DEL COM1,00797821334234476$31,005,198,089555
XLP · SELECT SECTOR SPDR TR1,2471,234109444455128$11,843,746,837553
IXUS · ISHARES TR1,0591,0439545630837$50,226,305,204551