Skip to content

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 10:30:28 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
SWX · SOUTHWEST GAS HLDGS INC COM4113985016811739$5,983,123,135156
DIOD · DIODES INC COM3993879213012432$5,015,184,028156
TBIL · RBB FD INC3173153412212135$3,252,090,736156
FV · FIRST TR EXCHANGE TRADED FD355352488614115$2,524,104,241156
NATL · NCR ATLEOS CORPORATION3613474710310551$3,071,583,430156
PIPR · PIPER SANDLER COMPANIES4184058314911343$4,433,439,412156
PTCT · PTC THERAPEUTICS INC3833717214311244$8,199,140,386156
MHO · M/I HOMES INC3523435412912234$3,974,486,476156
PAHC · PHIBRO ANIMAL HEALTH CORP (CLA20820032817680$660,448,030156
UNFI · UNITED NAT FOODS INC COM3613504513711639$2,611,659,081155
PYLD · PIMCO MULTISECTOR BOND ACTIVE EXCHANGE-TRADED FUND6946867644711936$12,327,948,498155
BIPC · BROOKFIELD INFRASTRUCTURE CORP COM SUB VTG A3933805715511045$3,413,190,742155
FELE · FRANKLIN ELEC INC COM3963864315313322$4,239,227,366155
JBLU · JETBLUE AWYS CORP383372711419263$1,886,840,160155
NEAR · ISHARES U S ETF TR4064014717612629$3,048,731,815155
TRNO · TERRENO RLTY CORP3893744316012530$7,502,307,079155
ULS · UL SOLUTIONS INC3913757016010649$8,944,702,098155
FIXD · FIRST TRUST TCW OPPORTUNISTIC3173142412712827$2,566,435,962155
LEU · CENTRUS ENERGY CORP379371491808768$2,506,350,533155
EZPW · EZCORP INC313305567911738$2,423,939,703155
AG · FIRST MAJESTIC SILVER CORP3483385113310847$3,834,228,447155
DHIL · Diamond Hill Investment Group Inc22001154$624,014155
IVLU · IVLU3793753813212133$3,129,812,974154
RGTI · RIGETTI COMPUTING INC COMMON STOCK480467992029064$3,350,788,661154
MT · ARCELORMITTAL SA LUXEMBOURG NY REGISTRY SH318316568911440$2,247,387,808154
HTHT · H WORLD GROUP LTD SPONSORED ADS256247299010747$6,572,215,454154
CPRI · CAPRI HOLDINGS LIMITED293283299910450$2,100,876,889154
AAP · ADVANCE AUTO PARTS INC3753655513711242$4,714,862,372154
TOTL · SSGA ACTIVE ETF TR3693663015613519$3,356,104,354154
PLUG · PLUG PWR INC5125018018210945$2,204,858,136154
BOTZ · GLOBAL X FDS4634585616311737$1,406,150,368154
USRT · ISHARES TR4434355817913024$3,289,366,694154
MTRN · MATERION CORP40739410213012430$6,037,262,398154
IBDS · iShares iBonds Dec. 2027 Corporate Bond ETF4184163120611440$2,581,761,533154
RUSHA · RUSH ENTERPRISES INC CL A3653554514012429$4,712,679,470153
VCTR · VICTORY CAP HLDGS INC DEL COM CL A3563476311712132$4,094,327,966153
NCNO · NCINO INC289279721058667$2,089,770,530153
SKY · CHAMPION HOMES INC3703566314611934$5,320,959,234153
CXM · SPRINKLR INC267257408610350$675,510,295153
SKT · TANGER INC3583474112412231$4,253,558,712153
CVGW · CALAVO GROWERS INC11001152$2,844153
CVCO · CAVCO INDS INC DEL3603505214211537$4,735,634,546152
BKE · BUCKLE INC COM295286291199854$1,327,813,548152
PSMT · PRICESMART INC COM3863746115011834$5,490,694,397152
PRGO · PERRIGO CO PLC SHS340330701229557$1,670,552,152152
PCVX · VAXCYTE INC COM3323204513210349$9,709,949,848152
SLG · SL GREEN RLTY CORP COM3583446212011933$3,642,948,965152
BRC · BRADY CORP3393275611411834$3,406,469,128152
SPGP · INVESCO EXCHANGE TRADED FD T305303217413715$1,299,801,627152
VSGX · Vanguard ESG International Stock ETF4824776119513219$2,029,960,920151
APLE · APPLE HOSPITALITY REIT INC COM NEW3683555614211140$3,447,843,945151
GLIBK · GCI LIBERTY INC COM SER C21020132636685$696,482,887151
PAYO · PAYONEER GLOBAL INC COM30028774749853$2,130,040,458151
DLN · WISDOMTREE TR4804722915413417$4,178,473,083151
WT · WISDOMTREE INC3122995211510051$2,719,080,257151
OPEN · OPENDOOR TECHNOLOGIES INC390380891268467$2,571,266,024151
ROAD · CONSTRUCTION PARTNERS INC3633535612811338$5,886,807,723151
MQ · MARQETA INC19018222586883$936,189,136151
BILS · SPDR SERIES TRUST282279259513417$2,328,959,196151
FFWM · First Foundation Inc00000151151
FFIC · Flushing Financial Corp22001150$6,002151
VBIL · Vanguard 0-3 Month Treasury Bill4124109616411931$4,346,272,764150
CYTK · CYTOKINETICS INC4844648923710347$13,657,643,171150
OSCR · OSCAR HEALTH INC40439511714110050$5,649,301,330150
VSH · VISHAY INTERTECHNOLOGY INC COM47145719311212030$8,161,498,160150
AVA · AVISTA CORP COM4204044917311535$3,054,329,626150
CWK · CUSHMAN AND WAKEFIELD LTD COMMON SHARES310302351339753$3,028,176,162150
QS · QUANTUMSCAPE CORP COM CL A452440701819258$1,590,072,335150
ALGM · ALLEGRO MICROSYSTEMS INC3753649511710743$10,226,943,606150
PJT · PJT PARTNERS INC4184046315010248$3,430,113,284150
GRAL · GRAIL INC3763625911710149$2,600,102,390150
VC · VISTEON CORP3233115611410248$3,155,212,262150
HYMB · SPDR SERIES TRUST4244194317112723$2,250,822,872150
FIVN · FIVE9 INC292282491009851$1,699,080,716149
FUL · FULLER H B CO COM3533405812110643$3,251,979,340149
AZZ · AZZ INC COM3623545513412029$4,400,140,323149
PAGS · PAGSEGURO DIGITAL LTD254246427710148$1,129,068,569149
TILE · INTERFACE INC3253175111411039$2,136,266,100149
EMBC · EMBECTA CORP32231456797574$164,629,907149
PAGP · PLAINS GP HLDGS L P3413333111312326$3,886,304,072149
VG · VENTURE GLOBAL INC3753691111497970$5,112,692,888149
LXP · LXP INDUSTRIAL TRUST3163054710211633$3,021,899,440149
COPX · GLOBAL X FDS4804749818110346$3,410,339,469149
SUPN · SUPERNUS PHARMACEUTICALS3343254311911435$2,800,329,694149
BKU · BANKUNITED INC3383294511911732$3,555,011,786149
BSCR · INVESCO BULLETSHARES 2027 CORPORATE BOND ETF4054003118612524$3,651,450,921149
UMC · UNITED MICROELECTRONICS CORP SPON ADR NEW3653558413011236$4,895,030,889148
VIPS · VIPSHOP HLDGS LTD SPONSORED ADS A286276409011830$3,333,180,858148
HMC · HONDA MOTOR CO LTD ADR ECH CNV IN 3382380681549751$1,431,793,033148
VAC · MARRIOTT VACATIONS WORLDWIDE C COM3733657010510543$3,229,198,940148
NSA · NATIONAL STORAGE AFFILIATES TR COM SHS BEN IN3363234812910444$3,172,234,227148
PAG · PENSKE AUTOMOTIVE GRP INC COM3963825914510543$3,317,212,006148
LTH · LIFE TIME GROUP HOLDINGS INC COMMON STOCK3733629513510642$8,326,818,210148
IXC · ISHARES TR336332369710444$990,462,097148
COLM · COLUMBIA SPORTSWEAR CO3263155510111434$1,614,785,261148
KNG · FIRST TR EXCHANGE-TRADED FD3113072211512919$1,888,588,373148
HTGC · HERCULES CAPITAL INC3333293013210246$830,049,284148
NEOG · NEOGEN CORP317305469611038$2,134,704,185148
LGND · LIGAND PHARMACEUTICALS INC4174039415111434$7,146,441,518148
SJNK · SPDR SERIES TRUST3993954017011830$3,273,560,300148