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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 23:19:37 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
CMS · CMS ENERGY CORP COM8227979633724181$24,166,282,376433
P · EVERPURE INC CL A81878712331026973$21,709,289,457433
SDY · SPDR S&P Dividend ETF1,2501,2315837443852$9,703,614,575432
NU · NU HLDGS LTD86384093338312135$38,553,582,326431
HST · HOST HOTELS & RESORTS INC COM74371510133021451$16,811,925,337431
BRO · BROWN & BROWN INC COM811791113318276121$18,061,902,647431
EL · LAUDER ESTEE COS INC CL A83581198333283100$18,127,305,371431
ALB · ALBEMARLE CORP946921113318359158$15,602,477,669431
BWXT · BWX TECHNOLOGIES INC85682611132028384$16,469,336,855431
ROKU · ROKU INC COM CL A787759199231245109$15,748,011,395430
SE · SEA LTD78276411531423286$36,118,183,000429
ENTG · ENTEGRIS INC COM75072716326622961$29,576,057,681429
CCI · CROWN CASTLE INC COM94291790339389107$32,042,685,172429
ACWX · iShares MSCI ACWI ex U.S. ETF7457368034817636$7,879,430,123428
APA · APA CORPORATION COM816792123305248121$11,714,072,824428
CP · CANADIAN PACIFIC KANSAS CITY COM9839579333430456$54,776,164,639427
FN · FABRINET SHS76374017225425180$20,365,566,940426
WY · WEYERHAEUSER CO COM NEW9088858134532174$15,568,088,553426
AMLP · ALPS ETF TR8087965237322856$5,752,676,372425
TEAM · ATLASSIANCORPCLASSA696676163261194126$12,351,596,114424
VGNT · VERSIGENT PLC ORDINARY SHARES4404254091578$2,908,566,573424
STM · STMICROELECTRONICS N V NY REGISTRY60860025516911046$12,717,174,682424
XPO · XPO INC COM75272315327121278$24,402,932,633424
IUSG · ISHARES CORE S&P U.S. GROWTH ETF93391810631826742$25,645,265,476424
LAMR · LAMAR ADVERTISING CO CL A78075812529723542$13,368,306,272422
AKAM · AKAMAI TECHNOLOGIES INC COM805778130292286100$18,879,818,299422
MKL · MARKELGROUPINC9309079832331790$18,807,125,453421
ULTA · ULTA BEAUTY INC COM1,0311,00196325450166$19,093,255,557421
UTHR · UNITED THERAPEUTICS CORP DEL COM88686010231833469$22,632,706,464420
SCHE · SCHWAB STRATEGIC TR9008927234733441$5,587,983,979419
CHTR · CHARTER COMMUNICATIONS INC N790768131287243138$14,221,690,729418
TOST · TOASTINCCLASSCLASSA774750121295250112$13,332,227,833416
RKT · ROCKET COS INC798774114301264138$15,139,695,686415
ACGL · ARCH CAP GROUP LTD ORD91288399316379103$30,340,072,280415
UBS · UBS GROUP AG SHS76775013727822557$62,859,912,778415
AMCR · AMCOR PLC69567512029521385$15,578,544,445415
ECHO · ECHOSTAR CORP704684148267218110$17,482,862,332415
DECK · DECKERS OUTDOOR CORP86583793321341100$13,277,281,147414
PODD · INSULET CORP COM73270585329255137$10,935,199,884414
CBRS · CEREBRAS SYSTEMS INC COM CL A418410413000$19,602,057,624413
SWK · STANLEY BLACK & DECKER INC COM77575312129224271$13,996,321,358413
ZS · ZSCALERINC749726129282248134$11,678,759,026411
CSGP · COSTAR GROUP INC COM760733108303266143$11,736,676,739411
DKS · DICKS SPORTING GOODS INC COM79077213128024982$15,666,532,900411
DFIC · DIMENSIONAL ETF TRUST6396325135914222$12,269,696,530410
MP · MP MATERIALS CORP75974012328720781$8,222,632,525410
MLI · MUELLER INDS INC COM7447179131823176$12,510,129,853409
WCN · WASTE CONNECTIONS INC COM84281212428431074$35,356,042,019408
AGNC · AGNC INVT CORP COM7066909531317970$5,187,337,980408
XLRE · Real Estate Select Sector SPDR Fund80579810130625557$6,415,217,612407
SCHO · Schwab Short Term US Treasury ETF7237128432322554$8,383,625,755407
BWA · BORGWARNER INC COM81779516923829870$14,223,702,211407
WPM · WHEATON PRECIOUS METALS CORP COM8548287932827378$32,969,103,985407
FDS · FACTSET RESH SYS INC COM76775013227524593$9,220,344,631407
EMB · ISHARES TR8428268332328189$13,547,256,294406
ROL · ROLLINS INC COM832802110296331120$11,813,462,631406
VIK · VIKING HOLDINGS LTD61459315525114751$22,233,792,837406
ALNY · ALNYLAM PHARMACEUTICALS INC COM7947688232228580$40,127,289,967404
BG · BUNGE GLOBAL SA COM SHS74471911528924884$19,607,372,077404
BN · BROOKFIELD CORP CL A LTD VT SH9439149430932363$64,390,513,805403
SHLD · GLOBAL X FDS6116028132214082$4,701,012,555403
TRI · THOMSON REUTERS CORP COM413397400242$33,042,733,401402
RBRK · RUBRIK INC.57656118122111971$10,387,410,880402
DLTR · DOLLAR TREE INC COM869840109292327101$23,588,108,254401
RJF · RAYMOND JAMES FINL INC COM9068756933234486$23,059,784,815401
IDEV · ISHARES TR7447338032121547$26,160,146,202401
SNX · TD SYNNEX CORPORATION COM74072116523523736$19,590,350,568400
FIS · FIDELITY NATL INFORMATION SVCS COM86383379321341165$19,818,994,834400
AFRM · AFFIRM HLDGS INC COM CL A66364513926117371$21,211,367,465400
BINC · BlackRock Flexible Income ETF7807716933033173$13,818,753,086399
HSBC · HSBC HLDGS PLC SPON ADR NEW71470012127818452$8,004,681,486399
IFF · INTERNATIONAL FLAVORS&FRAGRANC COM75673210429523257$21,537,425,679399
ROP · ROPER TECHNOLOGIES INC COM1,0841,04881317534152$34,570,500,558398
STZ · CONSTELLATION BRANDS INC CL A1,0391,001101297454115$20,066,354,093398
UNM · UNUM GROUP COM76674611228424051$12,646,090,180396
ZBH · ZIMMER BIOMET HOLDINGS INC COM9138838131531191$17,087,323,531396
RBLX · ROBLOX CORP CL A793768105291269153$31,007,124,172396
STE · STERIS PLC SHS USD83680697299309103$20,012,581,963396
MAA · MID AMERICA APARTMENT COMMUNITIES INC.77775410129426674$15,641,890,750395
LULU · LULULEMON ATHLETICA INC852827111284338220$9,453,133,410395
MTSI · MACOM TECH SOLUTIONS HLDGS INC COM65963618121319040$27,687,415,432394
TDY · TELEDYNE TECHNOLOGIES INC COM89186311927532977$29,996,847,898394
SAN · BANCO SANTANDER SA ADR6636518131215160$6,941,908,909393
DFUS · DIMENSIONAL ETF TRUST8758655533825231$17,130,516,511393
CGNX · COGNEX CORP65463713126118055$12,645,783,734392
XOM · EXXON MOBIL CORP403400391130$7,166,390,325392
RMD · RESMED INC COM89286382309363137$19,423,028,723391
MRNA · MODERNA INC78476013325823983$22,297,092,231391
MINT · PIMCO ETF TR7657557331828051$11,323,528,969391
TTMI · TTM TECHNOLOGIES INC64162317221920557$18,127,960,535391
EWJ · iShares MSCI Japan ETF7867789729321158$15,095,376,486390
RIVN · RIVIAN AUTOMOTIVE INC COM CL A8278089329722682$12,885,769,390390
FTAI · FTAI AVIATION LTD SHS68766413525520370$26,783,190,642390
AIRR · FIRST TR EXCHANGE TRADED FD5705628230811017$7,914,393,871390
IWN · ISHARES TR1,0811,0699030036046$10,390,125,860390
RPRX · ROYALTY PHARMA PLC6496259729317943$20,560,962,220390
BLCR · BLACKROCK ETF TRUST4344281402503412$6,594,678,159390
USHY · iShares Broad USD High Yield Corporate Bond ETF6796667331617855$25,947,535,941389
AEIS · ADVANCED ENERGY INDS COM68366117421422070$14,952,922,796388
CDE · COEUR MNG INC COM NEW683664127260196103$12,894,919,087387