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Consensus sells

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 2026-10-10 17:15:30 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
APG · API GROUP CORP COM STK5845686823120863$15,473,553,098271
INVH · INVITATION HOMES INC COM6266039324221852$17,964,199,301270
XLG · INVESCO S&P 500 TOP 50 ETF5845766418422248$5,076,449,370270
NFG · NATIONAL FUEL GAS CO COM6556368726218090$6,173,889,054270
EMN · EASTMAN CHEM CO COM6496278123519674$7,218,776,586270
LYFT · LYFT INC5295118416318189$6,115,213,604270
FSK · FS KKR CAP CORP4404374912718585$1,148,820,350270
EWJ · iShares MSCI Japan ETF7867789729321158$15,095,376,486269
CAVA · CAVAGROUPINC5455268216021158$8,208,392,855269
PEGA · PEGASYSTEMS INC COM43742262175157112$2,853,620,886269
TLN · TALEN ENERGY CORP COM64963214223719673$18,497,831,530269
GMED · GLOBUS MED INC CL A6015817325118386$9,427,746,292269
SGI · SOMNIGROUP INTERNATIONAL INC COM5435289720718188$17,564,231,228269
IBN · ICICI BANK LIMITED ADR5205055019219079$15,780,873,487269
AAL · AMERICAN AIRLINES GROUP INC COM5825719117818385$9,326,490,734268
HEI-A · HEICO CORP NEW6696469825521553$18,032,250,591268
AKRE · PROFESIONALLY MANAGED PORTFO443436335621750$2,060,862,472267
AIZ · ASSURANT INC COM6145878922520165$13,039,063,907266
EHC · ENCOMPASS HEALTH CORP COM6005795922422541$9,629,411,533266
CLF · CLEVELAND-CLIFFS INC NEW COM5855709218319175$4,458,444,705266
BSY · BENTLEY SYS INC COM CL B39938553135163103$4,683,032,571266
PCOR · PROCORE TECHNOLOGIES INC COM40238782121154112$6,150,296,115266
ARE · ALEXANDRIA REAL ESTATE EQ INC COM59858010323119472$8,976,823,628266
CRL · CHARLES RIV LABS INTL INC5695527219520363$12,859,004,809266
FLOT · iShares Floating Rate Bond ETF6916807828821253$6,181,575,612265
HST · HOST HOTELS & RESORTS INC COM74371510133021451$16,811,925,337265
SUI · SUN CMNTYS INC COM5345177617520164$14,858,007,867265
WYNN · WYNN RESORTS LTD4984785515119570$7,235,054,618265
VDC · Vanguard Consumer Staples ETF6686637021622341$3,325,761,828264
MORN · MORNINGSTAR INC COM4204086313117391$3,786,185,936264
SW · SMURFIT WESTROCK PLC SHS6416239626819569$23,217,628,957264
LOPE · GRAND CANYON ED INC COM4494375515018381$3,835,096,394264
OLLI · OLLIES BARGAIN OUTLET HLDGS4554366415317589$5,460,732,966264
SPHQ · INVESCO EXCHANGE TRADED FD T82781311932522044$13,918,495,082264
SCHP · Schwab US TIPS ETF7927839736321746$10,748,372,280263
AIT · APPLIED INDL TECHNOLOGIES INC COM6236039223021053$11,942,075,210263
HL · HECLA MNG CO5885729521118776$7,485,018,213263
SANM · SANMINA CORP COM57555616514521151$12,695,926,927262
OSK · OSHKOSH CORP COM6005817822019171$9,784,901,017262
ONON · ON HLDG AG NAMEN AKT A4934778715316993$7,424,839,866262
RDVY · FIRST TR EXCHANGE TRADED FD8198068239723032$18,062,098,419262
DFAX · DIMENSIONAL ETF TRUST7147054429523824$9,714,595,417262
IDEV · ISHARES TR7447338032121547$26,160,146,202262
TTMI · TTM TECHNOLOGIES INC64162317221920557$18,127,960,535262
FNDX · SCHWAB STRATEGIC TR84182910133721844$20,301,981,625262
SITE · SITEONE LANDSCAPE SUPPLY INC3973886111117092$5,396,712,501262
CRWV · COREWEAVE INC COM CL A97294727041017388$39,608,366,112261
DFIV · Dimensional International Value ETF9008888643122140$16,088,405,427261
DY · DYCOM INDS INC COM62160615318421150$14,145,233,587261
FNV · FRANCO NEV CORP COM6646468324420556$29,043,792,675261
EWBC · EAST WEST BANCORP INC COM65463310524120556$16,316,204,723261
TTC · TORO CO5995838321119863$8,768,780,295261
JEF · JEFFERIES FINANCIAL GROUP IN5905708319620259$6,834,348,863261
PATH · UIPATH INC5305168718517091$3,915,180,159261
CWENA · CLEARWAY ENERGY INC-CLASS A NE33012259$84,266,981261
NXST · NEXSTAR MEDIA GROUP INC COMMON STOCK4914765216218674$5,468,047,968260
PR · PERMIAN RESOURCES CORP CLASS A COM6195977427118871$14,097,760,403259
CNM · CORE & MAIN INC CL A4554425816218079$9,657,621,963259
AN · AUTONATION INC COM5144995616319861$4,497,384,425259
LNC · LINCOLN NATL CORP IND COM6206037623918871$5,803,804,156259
RGA · REINSURANCE GROUP AMER INC COM NEW6346176424121345$13,816,615,158258
PBR · PETROLEO BRASILEIRO S A5635498819118573$12,622,304,062258
IHI · iShares U.S. Medical Devices ETF5085036712018869$1,528,831,186257
VTWO · VANGUARDRUSSELL2000ETF7467358925822631$13,262,277,986257
ELS · EQUITY LIFESTYLE PROPERTIES COM4784624417119463$13,521,908,783257
ICVT · ISHARES TR4054005911019661$2,035,257,679257
ASND · ASCENDIS PHARMA A/S DKK 1.0 AD1010231256$144,398,407257
LFUS · LITTELFUSE INC COM61159211817221343$11,488,025,820256
CFR · CULLEN FROST BANKERS INC COM5725587617220749$8,827,570,294256
DOCN · DIGITALOCEAN HLDGS INC COM56854818314318967$14,848,886,010256
BHP · BHP BILLITON LIMITED SPONSORED ADS82781213430721145$9,677,366,839256
VFC · V F CORP COM5545406619218472$6,621,407,070256
RNR · RENAISSANCERE HLDGS LTD COM5785607821019462$13,216,366,575256
NTNX · NUTANIX INC CL A5655459922218175$13,369,505,114256
DSI · iShares MSCI KLD 400 Social ETF6386245819123519$3,535,982,980254
GTLS · CHART INDS INC4314154012118569$10,465,172,149254
PHYS · SPROTT PHYSICAL GOLD TR6556503820019163$4,400,320,767254
AGX · ARGAN INC56855313617519064$11,123,630,084254
PNW · PINNACLE WEST CAP CORP7327117629820252$14,121,773,176254
POST · POST HLDGS INC4154056010918074$4,000,989,515254
PEN · PENUMBRA INC COM4514363714618469$10,782,280,353253
WBS · WEBSTER FINL CORP5425255917719459$11,884,139,613253
AR · ANTERO RESOURCES CORP COM6316148928815894$9,690,773,196252
DTM · DT MIDSTREAM INC COMMON STOCK7146927426820250$13,139,829,157252
QRVO · QORVO INC COM5425237017818567$7,968,181,836252
CROX · CROCS INC COM50249010113119161$5,807,487,967252
FBTC · Fidelity Wise Origin Bitcoin Fund6266226524217081$1,707,159,675251
CPB · THE CAMPBELLS COMPANY COM621608132253150101$4,124,061,221251
TEVA · TEVA PHARMACEUTICAL INDS LTD SPONSORED ADS6766577627519754$24,739,188,848251
FTEC · Fidelity MSCI Information Technology Index ETF6616489120521436$4,728,021,093250
ELF · ELFBEAUTYINC4344206814316090$3,822,628,376250
CR · CRANE COMPANY COMMON STOCK6005779721218961$10,082,504,308250
MOH · MOLINA HEALTHCARE INC60258414921117575$12,809,537,547250
RITM · RITHM CAPITAL CORP COM NEW5134985418218069$3,079,727,244249
TNL · TRAVEL PLUS LEISURE CO COM4784655414019752$4,798,575,820249
WHR · WHIRLPOOL CORP COM46345289158129120$2,604,950,886249
AGNC · AGNC INVT CORP COM7066909531317970$5,187,337,980249
COLB · COLUMBIA BKG SYS INC5575387818220346$8,629,824,236249
DFAI · DIMENSIONAL ETF TRUST8318206146622128$14,803,870,308249
BBWI · BATH & BODY WORKS INC COM4684556816917573$4,769,014,346248