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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 2026-10-11 10:31:06 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
SITM · SITIME CORP COM56954717615719730$16,764,654,062227
APLD · APPLIED DIGITAL CORP COM NEW56755517016316562$7,853,144,961227
OZK · BANK OZK LITTLE ROCK ARK COM5305147819417552$5,441,751,350227
BXP · BXP INC COM5505347122116859$11,796,084,729227
EWY · ISHARES INC MSCI STH KOR ETF60159219618415572$18,632,547,281227
RAL · RALLIANT CORP53652310314116958$8,320,523,043227
UI · UBIQUITI INC3593496210114087$1,581,217,913227
MHK · MOHAWK INDS INC4924819117515968$6,543,628,555227
MTDR · MATADOR RES CO COM4944797419415076$6,027,181,648226
RELX · RELX PLC SPONSORED ADR4394345715416066$2,704,462,666226
STWD · STARWOOD PPTY TR INC COM5215055319816462$3,050,629,663226
BKLN · INVESCO EXCH TRADED FD TR II5054985419717353$5,828,872,220226
ACHR · ARCHER AVIATION INC5275187017415076$1,920,005,416226
SSD · SIMPSON MFG INC4894747015218244$8,593,315,942226
TKR · TIMKEN CO60859012921216858$9,445,613,905226
W · WAYFAIR INC4584458615914482$11,214,858,899226
SLNO · SOLENO THERAPEUTICS INC00000226226
PAVE · GLOBAL X FDS82180412033218738$10,366,473,178225
BAP · CREDICORP LTD4294195014418243$22,361,150,612225
ESE · ESCO TECHNOLOGIES INC4494356313917748$9,045,191,829225
SCHH · Schwab US REIT ETF5985947322217945$6,385,873,412224
BRBR · BELLRING BRANDS INC COMMON STOCK36535489114121103$1,695,524,728224
BCS · BARCLAYS PLC ADR56055310619316559$7,857,658,017224
MPT · MEDICAL PROPERTIES TRUST INC COM4914755017017351$1,683,771,581224
DLB · DOLBY LABORATORIES INC COM CL A3923774714315173$3,249,019,095224
SPAB · SPDR SERIES TRUST5445363624818737$6,767,977,769224
ESGV · Vanguard ESG U.S. Stock ETF7217117426919429$4,167,993,780223
STIP · iShares 0-5 Year TIPS Bond ETF83082011943217548$12,818,136,396223
CRBG · COREBRIDGE FINL INC COM4484326815617350$13,940,212,487223
GH · GUARDANT HEALTH INC COM60158615419918043$20,030,901,772223
YETI · YETI HLDGS INC COM4624478113917053$4,195,637,111223
TECK · TECK RESOURCES LTD CL B5215007817117251$20,763,210,277223
BFAM · BRIGHT HORIZONS FAM SOL IN DEL COM3883788711715369$3,897,491,538222
H · HYATT HOTELS CORP COM CL A5275088214917943$9,223,148,261222
FUTU · FUTU HLDGS LTD SPON ADS CL A3203114411012696$4,187,165,132222
OMF · ONEMAIN HLDGS INC COM5265108619917349$6,606,378,738222
THO · THOR INDS INC4093975811615468$4,150,987,071222
RPRX · ROYALTY PHARMA PLC6496259729317943$20,560,962,220222
SLYG · SPDR SERIES TRUST5605506419320022$3,641,742,602222
SHLD · GLOBAL X FDS6116028132214082$4,701,012,555222
PL · PLANET LABS PBC48447011914516458$8,458,795,883222
AM · ANTERO MIDSTREAM CORP COM5345176018818041$6,491,564,843221
R · RYDER SYS INC COM5795669320817942$9,204,630,545221
KRE · SPDR SERIES TRUST5475449215816556$7,821,320,099221
ALK · ALASKA AIR GROUP INC COM49147910515014971$5,341,571,173220
MGA · MAGNA INTL INC COM4524396114616951$12,495,423,125220
JMST · JPMORGAN ULTRA-SHORT MUNICIPAL INCOME ETF5645604025219129$3,560,493,353220
VOD · VODAFONE GROUP PLC SPONSORED ADR5785717716716654$2,557,858,967220
AMH · AMERICAN HOMES 4 RENT4844718117016258$10,926,500,993220
PDBC · INVESCO ACTVELY MNGD ETC FD4474437214114971$4,150,544,075220
BC · BRUNSWICK CORP4734575615517050$5,679,863,956220
SSB · SOUTHSTATE BK CORP COM5555398919617445$8,525,434,442219
CALM · CAL MAINE FOODS INC COM NEW4574456518014574$3,588,681,392219
REG · REGENCY CTRS CORP COM6125886426817940$14,714,562,385219
CHRD · CHORD ENERGY CORPORATION5195018119615960$6,097,390,499219
RVTY · REVVITY INC5445279419816554$12,681,998,634219
MCW · MISTER CAR WASH INC11001218$13,888219
NOK · NOKIA CORP79477524227914276$13,392,549,227218
WEN · WENDYS CO COM4043917413113979$1,483,492,481218
QSR · RESTAURANT BRANDS INTL INC COM5845628423816751$23,455,710,078218
DB · DEUTSCHE BK AG NAMEN AKT5084928216916652$23,711,227,839218
TSEM · TOWER SEMICONDUCTOR LTD SHS NEW45343812611216553$17,071,529,151218
GTM · ZOOMINFO TECHNOLOGIES INC COMMON STOCK33232181109105113$774,118,133218
WIX · WIX COM LTD SHS235227387096122$1,948,131,914218
OBDC · BLUE OWL CAPITAL CORPORATION COM4314284215015068$2,906,157,095218
PRA · PROASSURANCE CORP22100218$225218
SRLN · SSGA ACTIVE ETF TR4794754521116255$4,216,703,912217
NOV · NOV INC4894757616416651$6,669,114,158217
NVRI · ENVIRI CORP77006211$62,857,060217
AXTA · AXALTA COATING SYS LTD COM3623464311415165$7,749,616,926216
QLYS · QUALYS INC COM4364228616014472$5,057,332,113216
ICLR · ICON PUB LTD CO SHS4244138214713878$13,861,936,589216
VIS · VANGUARD WORLD FD6266185920817739$4,654,343,138216
ARWR · ARROWHEAD PHARMACEUTICALS IN50248712115315858$9,733,416,205216
ICSH · BlackRock Ultra Short-Term Bond ETF5595547023817342$4,186,302,182215
PCTY · PAYLOCITY HLDG CORP COM4714608018915758$4,830,139,446215
ESI · ELEMENT SOLUTIONS INC COM5024829117517639$12,090,367,191215
AAON · AAON INC47446110812917837$8,262,835,288215
SIRI · SIRIUSXM HOLDINGS INC59958310320515164$8,331,693,347215
SON · SONOCO PRODS CO5094936019716451$5,494,903,667215
MGC · MGC5315224915418727$5,161,816,558214
HQY · HEALTHEQUITY INC COM5014847221115856$8,096,398,937214
CNX · CNX RES CORP COM3873724113313777$4,560,842,448214
CUBE · CUBESMART COM5195018819815757$9,175,879,844214
AGI · ALAMOS GOLD INC COM CL A4754634319115361$7,327,025,843214
ECG · EVERUS CONSTR GROUP COM5405269516016450$7,169,211,251214
IDV · ISHARES TR6326205327318430$4,635,827,900214
AGCO · AGCO CORP5195036719716747$7,956,399,759214
IDA · IDACORP INC5675476221417044$9,253,550,469214
IGM · iShares Expanded Tech Sector ETF5625557413318924$5,329,148,477213
KBH · KBHOME3793666211714370$3,971,675,241213
BYD · BOYDGAMINGCORP4224074413417835$4,810,497,298213
AEO · AMERICAN EAGLE OUTFITTERS INC COM3453335310313875$2,891,477,966213
MYRG · MYR GROUP INC46745511513817241$7,743,758,035213
FRT · FEDERAL RLTY INVT TR NEW62160010824416548$10,559,756,060213
KNX · KNIGHT-SWIFT TRANSN HLDGS IN63261416320617043$12,666,945,945213
BPOP · POPULAR INC4764617315717043$9,733,931,631213
BSCQ · INVESCO BULLETSHARES 2026 CORPORATE BOND ETF3973922112718627$2,972,923,827213
THR · THERMON GROUP HLDGS INC33102211$4,781,148213
PKST · Peakstone Realty Trust33001212$52,580213