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 2026-10-08 13:55:17 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
STIP · iShares 0-5 Year TIPS Bond ETF83082011943217548$12,818,136,396551
HUM · HUMANA INC COM92989823132026892$47,191,557,739551
EQT · EQT CORP COM1,1131,071116434390178$31,252,552,889550
RDDT · REDDIT INC CL A897876194356243101$21,793,521,892550
TRGP · TARGA RES CORP COM1,0981,06213441436573$54,631,241,017548
OTIS · OTIS WORLDWIDE CORP COM1,2331,196116431457123$25,567,311,484547
JAAA · JANUS DETROIT STR TR90889911243527647$18,329,749,970547
VOE · Vanguard Mid-Cap Value ETF1,2461,2297646941859$14,521,082,310545
CRH · CRH PLC ORD1,029996127418359104$60,289,242,767545
CASY · CASEYS GEN STORES INC1,0881,05519435039374$26,141,433,297544
NVT · NVENT ELEC PLC SHS98094820733729559$24,902,552,689544
RF · REGIONS FINANCIAL CORP NEW COM1,1111,07810643635681$21,839,247,045542
CRS · CARPENTER TECHNOLOGY CORP88185922831425251$28,616,073,336542
CF · CF INDUSTRIES HOLD COM968939163377310115$17,228,058,174540
DGX · QUEST DIAGNOSTICS INC COM1,1131,07711142935470$22,202,198,753540
WAB · WABTEC COM1,1961,16410943040779$42,184,802,428539
BIIB · BIOGEN INC COM1,0471,01411242729782$30,714,515,541539
ON · ON SEMICONDUCTOR CORP COM1,00097222930934067$37,805,742,906538
ATO · ATMOS ENERGY CORP COM1,0461,00612141634595$28,027,509,944537
TWLO · TWILIO INC CL A97194321831831567$28,484,580,686536
VYMI · Vanguard International High Dividend Yield ETF8898759643920739$7,774,751,926535
IONQ · IONQ INC COM78877223130415476$10,441,688,113535
AIG · AMERICAN INTL GROUP INC COM NEW1,1401,10811342243493$37,276,491,995535
IGV · iShares Expanded Tech-Software Sector ETF888878223311233104$11,644,636,625534
ODFL · OLD DOMINION FREIGHT LINE INC COM1,02799213639834575$35,803,514,999534
ASTS · AST SPACEMOBILE INC COM CL A756737164369139102$15,304,820,214533
FBND · FIDELITY MERRIMACK STR TR7957837545818940$22,141,412,304533
SPEM · SPDR Portfolio Emerging Markets ETF1,0391,0248045234946$12,357,562,087532
SPSM · SPDR Portfolio S&P 600 Small Cap ETF1,0581,04310342837641$12,556,355,582531
BABA · ALIBABA GROUP HLDG LTD1,2311,209105426432227$22,263,620,875531
DOW · DOW HLDGS INC COM1,2071,175125406454234$15,433,258,034531
GNRC · GENERAC HLDGS INC1,00297319433632063$15,374,098,015530
COR · CENCORA INC COM1,3521,31994435625178$51,764,139,102529
LQD · iShares iBoxx Inv Grade Corporate Bond ETF1,1221,1069543338085$33,119,852,308528
DG · DOLLAR GEN CORP COM1,1351,104109419425129$24,792,835,636528
CGDV · CAPITAL GROUP DIVIDEND VALUE7787666546316627$27,056,143,333528
VBK · Vanguard Small-Cap Growth ETF1,2831,26911541245952$14,600,674,231527
DFAI · DIMENSIONAL ETF TRUST8318206146622128$14,803,870,308527
CLX · CLOROX CO DEL1,0561,032120405359159$9,936,591,498525
PYLD · PIMCO MULTISECTOR BOND ACTIVE EXCHANGE-TRADED FUND6946867644711936$12,327,948,498523
IQV · IQVIA HLDGS INC COM1,0911,061124399431109$30,251,542,782523
USMV · iShares MSCI USA Min Vol Factor ETF1,3821,36510042257393$16,528,504,973522
DVY · ISHARES TR1,4311,4147344746060$10,595,834,055520
NOK · NOKIA CORP79377424127914276$13,380,631,835520
CPRT · COPART INC COM1,0631,023117403402139$22,118,580,466520
NDAQ · NASDAQ INC COM1,0911,053104415411115$37,210,085,393519
VMC · VULCAN MATLS CO COM1,0711,03512939036993$37,777,886,442519
AWK · AMERICAN WTR WKS CO INC NEW COM1,1341,096106412419114$26,812,799,303518
DFIV · Dimensional International Value ETF9008888643122140$16,088,405,427517
GEHC · GE HEALTHCARE TECHNOLOGIES INC COMMON STOCK1,2331,199117400471165$25,236,569,206517
AZO · AUTOZONE INC COM1,2751,238105412478126$49,727,998,473517
SYF · SYNCHRONYFINL1,00898211140535172$26,201,374,800516
TIP · iShares TIPS Bond ETF1,0251,0118642928085$10,166,058,232515
CBOE · CBOE GLOBAL MKTS INC COM993967119396349113$22,644,206,384515
XLC · Communication Services Select Sector SPDR Fund1,1661,147100414436119$19,750,570,536514
SOFI · SOFI TECHNOLOGIES INC COM928908117397260118$11,770,211,510514
HIG · HARTFORD INSURANCE GROUP INC COM1,2021,1689641846593$33,472,311,117514
VTR · VENTAS INC COM95592510241229375$46,385,540,236514
KVUE · KENVUE INC1,014981101412367102$34,581,978,603513
CLS · CELESTICA INC COM87885317234127271$29,038,418,514513
PCG · PG&E CORP COM93891510840531376$36,186,939,430513
VV · VANGUARD INDEX FDS1,3761,35510440845746$36,812,369,529512
DXCM · DEXCOM INC COM977942115397349100$25,959,727,568512
MTB · M & T BK CORP COM1,1641,13412039240974$31,358,680,610512
FE · FIRSTENERGY CORP9329029741425294$24,594,536,263511
HYG · ISHARES TR9929788842230980$21,765,789,549510
TSCO · TRACTOR SUPPLY CO COM1,0631,027133377418241$15,577,288,617510
NTRA · NATERA INC COM85082515335724366$37,205,179,530510
CBRE · CBRE GROUP INC CL A1,0761,047104406416111$38,137,115,024510
TLT · ISHARES TR1,0501,036127383393172$31,598,544,459510
VICI · VICI PPTYS INC COM9489219641334596$28,080,100,893509
PPG · PPG INDS INC COM1,0961,06212138636171$24,368,309,381507
MSCI · MSCI INC COM1,0871,05011339141388$37,686,494,481504
HUBB · HUBBELL INC COM1,02198710839631965$26,641,749,802504
JBHT · HUNT J B TRANS SVCS INC COM85983215035423661$20,865,555,077504
IGSB · ISHARES 1-5 YEAR INVESTMENT GRADE CORPORATE BOND ETF1,0141,0047442733377$16,095,899,219501
GLDM · WORLD GOLD TR9199089940226984$14,189,616,081501
LEN · LENNAR CORP CL A939917109391309109$19,259,059,369500
AEE · AMEREN CORP COM9559279640325077$27,677,513,852499
MTZ · MASTEC INC COM91188517232629575$24,711,612,000498
PYPL · PAYPALHLDGSINC1,3941,35690407692201$28,226,081,053497
NTRS · NORTHERN TR CORP COM1,02199412737033170$26,906,913,772497
PFG · PRINCIPAL FINANCIAL GROUP INC COM96193410439327356$18,382,511,089497
GRMN · GARMIN LTD SHS1,0119799040735497$26,108,675,226497
CCJ · CAMECO CORP COM1,0401,01411438234797$28,255,896,679496
NRG · NRG ENERGY INC COM NEW1,024992108387393151$28,835,779,364495
WAT · WATERS CORP COM1,1851,153144350484136$37,259,713,477494
XBI · SPDR SER TR93892617032423148$19,572,356,938494
IWB · ISHARES RUSSELL 1000 ETF1,5561,53611837456940$39,125,762,098492
NTAP · NETAPP INC COM96993917331834572$29,983,734,809491
RIO · RIO TINTO PLC SPONSORED ADR97095710538628775$12,161,411,853491
SJM · SMUCKER J M CO89086613935225975$10,520,778,903491
STLD · STEEL DYNAMICS INC COM1,02499114534537465$27,313,535,660490
NI · NISOURCE INC COM9168889239824969$21,954,935,463490
DOV · DOVER CORP COM1,1701,13411637440877$27,539,847,580490
CMG · CHIPOTLEMEXICANGRILLI1,1961,157103386535160$38,745,575,437489
EVRG · EVERGY INC COM9489188640326761$18,824,298,378489
PCAR · PACCAR INC COM1,0991,06110438541489$46,713,268,643489
MAS · MASCO CORP92489114034929360$16,297,916,409489
MDY · SPDR S&P Midcap 400 ETF Trust1,5421,52513934653747$17,312,292,070485