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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 06:23:16 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
VITL · VITAL FARMS INC22722048737988$421,385,675167
HCC · WARRIOR MET COAL INC3433315112811453$4,146,713,601167
SYM · SYMBOTIC INC420407831728879$5,212,509,050167
PENN · PENN ENTERTAINMENT INC COM3813716812310957$3,021,612,260166
PGNY · PROGYNY INC COM311303628612145$2,253,672,756166
INSP · INSPIRE MED SYS INC COM27526763987690$1,648,617,257166
GNL · GLOBAL NET LEASE INC COM NEW3423303411312046$1,475,163,253166
BXSL · BLACKSTONE SECD LENDING FD360357511449868$2,086,362,215166
QYLD · GLOBAL X FDS4314263220012739$1,925,982,251166
ITGR · INTEGER HLDGS CORP3303194210013234$3,803,018,733166
DORM · DORMAN PRODS INC3293205011012541$3,891,478,991166
FIGR · FIGURE TECHNOLOGY SOLUTIO303293701198482$3,622,208,551166
GDEN · Golden Entertainment Inc11000166$29166
NWE · NORTHWESTERN ENERGY GROUP INC COM NEW3773653512913530$4,211,667,034165
VOOV · VANGUARD ADMIRAL FDS INC4564473813914718$2,776,359,023165
CHH · CHOICE HOTELS INTL INC3313223710012441$3,797,576,444165
LASR · NLIGHT INC3613517713811847$3,603,781,103165
CGGR · CAPITAL GROUP GROWTH ETF6536428036913431$19,041,145,280165
PPLI · PEOPLE INC340330539711946$3,180,253,977165
RNG · RINGCENTRAL INC3803687713112342$3,370,929,330165
PRMB · PRIMO BRANDS CORPORATION CLASS A COM SHS3823727313012539$9,755,551,247164
FROG · JFROG LTD ORD SHS41439913711811648$10,344,182,990164
VCYT · VERACYTE INC COM3703597512812341$5,230,438,796164
TTAN · SERVICETITAN INC SHS CL A3723608713110559$6,015,458,650164
DFIC · DIMENSIONAL ETF TRUST6396325135914222$12,269,696,530164
OII · OCEANEERING INTL INC3773676014711153$4,223,685,887164
CORT · CORCEPT THERAPEUTICS INC42441012514611153$7,152,412,188164
CXT · CRANE NXT CO3563465611911054$3,130,565,677164
CEF · SPROTT ASSET MANAGEMENT LP4464433410912044$2,248,007,407164
HAYW · HAYWARD HLDGS INC2842753610511252$3,828,590,990164
DNOW · DNOW INC3022944010510658$2,494,767,343164
APAM · ARTISAN PARTNERS ASSET MGMT I CL A3813694615711449$2,405,169,775163
ERIC · TELEFONAKTIEBOLAGET LM ERICSS ADR B SEK 103913866315211251$3,527,710,283163
FSV · FIRSTSERVICE CORP NEW COM2792693810610459$4,604,467,667163
SARO · STANDARDAERO INC COM3643551001399766$10,758,595,835163
BLV · VANGUARD BD INDEX FDS4124073917812439$3,687,699,291163
DUHP · DIMENSIONAL ETF TRUST5625554529513528$10,958,116,260163
CVSA · COVISTA INC3773685014513330$4,279,543,516163
UNF · UNIFIRST CORP MASS3403264810912241$3,889,679,671163
SEDG · SOLAREDGE TECHNOLOGIES INC3483367010711449$3,432,975,226163
SEI · SOLARIS ENERGY INFRAS INC COM CL A43341911215912339$5,708,491,312162
RDN · RADIAN GROUP INC COM3923835715611448$4,710,734,610162
PLMR · PALOMAR HLDGS INC COM3423304512511745$3,078,500,504162
RAMP · LIVERAMP HLDGS INC COM307297827510854$2,286,190,387162
DBEF · DBX ETF TR4464402915713923$6,662,350,128162
SSRM · SSR MINING IN3923835915510854$4,079,787,038162
TPC · TUTOR PERINI CORP3383304613012042$3,498,925,517162
GME · GAMESTOP CORP3763675110811448$3,521,427,163162
WAY · WAYSTAR HLDG CORP301293661178775$4,345,596,673162
ISTB · ISHARES TR3993943416912834$3,763,647,707162
RDNT · RADNET INC3293163713111250$5,026,241,919162
ESLT · ELBIT SYS LTD ORD3883734115810952$7,276,279,584161
QGEN · QIAGEN NV ORD SHARES338330691418972$5,684,848,702161
CIFR · CIPHER DIGITAL INC COM46745312916512437$9,080,177,261161
CSW · CSW INDUSTRIALS INC3553443812013328$4,556,358,055161
NPO · ENPRO INC4083957812613526$7,943,217,968161
ZG · ZILLOW GROUP INC CLASS A264256556210061$1,310,808,577161
BL · BLACKLINE, INC.24723738769170$1,703,258,177161
VAW · Vanguard Materials ETF4284214012713228$1,288,906,478160
ONDS · ONDAS HLDGS INC4184061291708080$2,296,772,041160
ACA · ARCOSA INC COM4294129712611842$6,541,864,982160
KRC · KILROY REALTY CORP COM3873747913012436$5,108,940,969160
EPRT · ESSENTIAL PPTYS RLTY TR INC COM3803674416411644$7,531,113,763160
PBI · PITNEY BOWES INC COM350337699312040$2,131,691,044160
EMLP · FIRST TR EXCHANGE-TRADED FD3763712115313030$2,985,006,438160
ITB · ISHARES TR348345668211644$2,382,009,263160
WMG · WARNER MUSIC GROUP CORP3373297312310456$4,301,583,412160
LAZ · LAZARD INC3443346111710555$4,256,794,230160
SILA · SILA REALTY TRUST INC26625576598080$1,118,596,713160
SEM · SELECT MED HLDGS CORP24123340648476$1,470,811,144160
TME · TENCENT MUSIC ENTMT GROUP SPON ADS3092954511910158$3,606,002,351159
OGS · ONE GAS INC COM4314155418111049$4,510,528,191159
SLF · SUN LIFE FINANCIAL INC. COM4954827117713326$19,979,902,302159
NMIH · NMI HLDGS INC3583503714811742$3,057,335,190159
CAR · AVIS BUDGET GROUP INC304292648310356$6,133,496,118159
PARR · PAR PAC HOLDINGS INC3703585913811841$2,818,239,325159
GBCI · GLACIER BANCORP INC NEW4364244515613524$5,805,099,421159
CAKE · CHEESECAKE FACTORY INC3433305110711742$4,046,539,270159
GBDC · GOLUB CAP BDC INC3183152612610554$1,572,296,410159
CNTA · CENTESSA PHARMACEUTICALS PLC00000159159
PK · PARK HOTELS & RESORTS INC COM3983836215111741$3,063,770,800158
WK · WORKIVA INC COM CL A306296581218870$2,406,118,499158
IMCG · ISHARES MORNINGSTAR MID-CAP GROWTH ETF4234194814313622$2,767,726,111158
TGTX · TG THERAPEUTICS INC COM43241510214712335$6,097,359,259158
SEMR · SEMRUSH HLDGS INC CL A COM11001157$24,000158
QTEC · FIRST TR EXCHANGE-TRADED FD451446989914414$3,296,784,385158
PULS · PGIM ETF TR4724685024012929$11,737,334,795158
FEZ · SPDR INDEX SHS FDS3543485010312929$2,324,976,234158
SPTI · SPDR SERIES TRUST4124074819512038$8,652,275,830158
ONEQ · FIDELITY COMWLTH TR4444387112313324$2,096,556,395157
SPHY · SPDR Portfolio High Yield Bond ETF5595536731112136$7,482,949,859157
ERIE · ERIE INDTY CO CL A4414287819011542$5,009,125,900157
EZU · ISHARES INC MSCI EURZONE ETF3613574911910453$6,670,435,566157
CLSK · CLEANSPARK INC4124019512611641$3,389,991,688157
EXTR · EXTREME NETWORKS INC3433337310612532$4,134,018,699157
ZD · ZIFF DAVIS INC267258426810948$2,147,560,971157
UBSI · UNITED BANKSHARES INC WEST VA COM4514406215712531$4,725,151,740156
ABG · ASBURY AUTOMOTIVE GROUP INC COM3163075311710749$3,856,013,101156
STM · STMICROELECTRONICS N V NY REGISTRY60860025516911046$12,717,174,682156
TXNM · TXNM ENERGY INC COM3863724515312036$6,332,479,172156