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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 2026-10-06 14:28:29 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
DE · Deere & Company2,6522,5971951,018889134$128,328,018,0181,023
GILD · Gilead Sciences,Inc.2,2772,222124950856164$140,570,552,5091,020
BLK · BlackRock,Inc.2,2972,240129922887126$115,341,209,0211,013
VIG · Vanguard Dividend Appreciation ETF2,5892,5641351,04494467$51,416,472,9571,011
VWO · VWO2,6052,5701471,20891293$88,479,377,2411,005
VTV · Vanguard Value ETF2,7962,7691691,24189990$129,188,431,626989
MCK · MCKESSON CORP COM2,0101,961139706803179$79,792,192,499982
CRWD · CROWDSTRIKE HLDGS INC2,4562,399489857853126$143,473,847,484979
CCL · CARNIVAL CORP COMMON STOCK47477159967$1,887,910,937976
BA · Boeing Company2,6252,5742231,066845119$129,344,727,295964
GD · GENERAL DYNAMICS CORP COM2,2092,162124861839125$82,757,626,768964
VB · Vanguard Small-Cap ETF2,4722,44714198890255$47,743,374,260957
MMM · 3M CO COM2,2342,186166722856100$62,649,613,179956
UPS · United Parcel Service,Inc. Class B2,1372,093169894813134$57,236,747,363947
MO · Altria Group Inc2,5642,5181791,136836109$77,059,717,659945
CTRA · COTERRA ENERGY INC COM66111942$7,414,342943
BSX · Boston Scientific Corporation1,4781,428132586617325$57,381,159,465942
ADI · Analog Devices,Inc.2,2812,230282869821119$175,142,009,003940
DUK · Duke Energy Corporation2,4772,4231411,131805134$68,825,343,020939
ZTS · ZOETIS INC CL A1,4291,390153504601334$28,587,303,132935
COF · CAPITAL ONE FINL CORP2,1192,073201819774149$107,684,532,598923
APH · AMPHENOL CORP NEW2,3262,270347981779141$204,957,370,363920
NEM · NEWMONT CORP1,7821,736137684722187$76,943,364,941909
CME · CME Group Inc. Class A1,7051,653144660672233$71,148,401,924905
CB · Chubb Limited2,1572,10315784480597$118,847,060,752902
FDX · FEDEX CORP COM1,9571,911117761708193$59,752,446,323901
PSX · PHILLIPS 66 COM2,1002,054134807735162$53,542,108,625897
ASML · ASMLHLDGNVFSPONSOREDADR1ADRREPS1ORDSHS2,5012,454415920790104$149,791,764,546894
LIN · Linde plc2,3172,2621871,004774119$204,433,210,102893
ICE · Intercontinental Exchange,Inc.1,6651,618121599713178$64,297,550,630891
EMR · EMERSON ELEC CO COM2,2882,23816688379989$65,623,624,733888
PYPL · PAYPALHLDGSINC1,3881,35089405688198$28,212,058,863886
MDLZ · Mondelez International,Inc. Class A1,8981,844121705764118$64,362,901,052882
RSP · INVESCO EXCHANGE-TRADED FD TR S&P 500 EQUAL WEIGHT ETF2,3092,282195997764107$64,508,760,505871
QUAL · ISHARES MSCI USA QUALITY FACTOR ETF1,6411,618107494759110$37,520,514,767869
IVW · iShares S&P 500 Growth ETF2,1292,10315869079570$54,891,191,787865
USB · USBANCORPDEL2,0582,00917775376995$76,788,378,410864
APD · AIR PRODS & CHEMS INC1,7691,723115600733129$60,020,925,299862
DELL · DELL TECHNOLOGIES INC CL C2,1292,080597581752109$101,470,438,669861
BX · BLACKSTONE INC2,1482,100151960731129$63,354,979,487860
ITW · ILLINOIS TOOL WKS INC1,9661,92112968675798$65,780,298,147855
ANET · ARISTA NETWORKS INC2,2442,180345950734119$152,216,551,890853
TMUS · T-Mobile US,Inc.1,6611,613148681639209$78,222,291,220848
IEFA · iShares Core MSCI EAFE ETF2,4522,4231291,22476383$161,897,047,962846
NOC · NORTHROP GRUMMAN CORP COM1,8121,765127693641203$60,418,929,093844
EFA · ISHARES TR2,2642,23712782677173$61,889,808,494844
CVS · CVS Health Corporation2,0652,011296777734108$117,447,110,343842
SO · Southern Company2,3572,3051171,100728114$79,853,317,520842
CMI · CUMMINS INC COM2,1012,052254772730112$83,666,644,949842
SHW · SHERWIN WILLIAMS CO1,7411,689158568726114$69,283,170,628840
PGR · Progressive Corporation1,8201,773177686709127$110,909,159,176836
MRSH · Marsh & McLennan Companies,Inc.1,5021,458125479662166$73,077,992,527828
CL · COLGATE PALMOLIVE CO COM2,0151,959166728726102$61,463,829,934828
VLO · VALERO ENERGY CORP COM1,9751,921211715720104$64,069,917,761824
ORLY · OREILLY AUTOMOTIVE INC COM1,6611,618138563693130$65,485,504,761823
AMT · American Tower Corporation1,7501,704157688668152$72,078,959,668820
SHOP · SHOPIFY INC1,7071,661136630662157$94,550,385,004819
TGT · TARGET CORP COM1,8871,849182727678140$51,273,060,897818
SLB · Schlumberger Limited1,6951,649147606669148$62,305,466,409817
IVE · iShares S&P 500 Value ETF1,7651,74212149974670$39,068,161,703816
PWR · QUANTA SVCS INC1,9391,89428667471496$95,702,237,734810
PH · PARKER-HANNIFIN CORP COM1,9761,919158749699111$108,283,494,383810
VRT · VERTIV HOLDINGS CO COM CL A2,0501,995324823703107$104,968,020,317810
XLV · Health Care Select Sector SPDR Fund1,8571,830165679692117$29,599,799,572809
MPC · MARATHON PETE CORP COM1,9451,90115168471494$56,000,612,417808
XLF · Financial Select Sector SPDR Fund1,8941,864149686704101$39,571,688,326805
ECL · ECOLAB INC COM1,7081,655124612687115$62,815,349,659802
CEG · CONSTELLATION ENERGY CORP COM1,8601,812167827591207$71,420,850,064798
COR · CENCORA INC COM1,3461,31394432620178$51,749,347,089798
BNY · BANK OF NY MELLON CORP COM1,8791,82720466570789$83,097,380,424796
IAU · iShares Gold Trust1,8961,87491705632161$29,056,771,742793
AGG · iShares Core US Aggregate Bond ETF2,0852,0531151,023681105$122,496,445,916786
KMI · KINDER MORGAN INC DEL COM1,8291,788114765665117$49,500,351,009782
WMB · WILLIAMS COS INC COM1,8281,777135724663119$81,607,331,910782
PNC · PNC FINL SVCS GROUP INC COM2,0301,98220881066897$82,217,655,520765
IWD · ISHARES RUSSELL 1000 VALUE ETF1,9761,95214358369768$64,378,857,079765
VYM · Vanguard High Dividend Yield ETF2,0602,03512284169172$28,514,774,596763
ADSK · AUTODESK INC COM1,1941,15792385544216$39,482,852,134760
TFC · TRUIST FINL CORP COM1,6991,65715162966694$46,698,186,518760
HCA · HCA Healthcare Inc1,3381,301110445572186$51,236,787,825758
MRVL · MARVELL TECHNOLOGY INC2,2152,159768628648108$205,878,339,331756
F · FORD MTR CO COM1,7331,696158713619132$36,269,470,440751
KMB · KIMBERLY-CLARK CORP COM1,7091,671178628623116$35,381,610,466739
FCX · FREEPORT MCMORAN INC CL B1,8911,837175844609130$78,182,052,291739
LHX · L3HARRIS TECHNOLOGIES INC COM1,6921,642124702572163$47,542,330,479735
CSX · CSX Corporation1,9921,94421474863795$69,869,134,693732
MSI · MOTOROLA SOLUTIONS INC COM NEW1,4701,431116510600132$61,072,438,474732
VRTX · Vertex Pharmaceuticals Incorporated1,7561,702171706620109$119,724,941,588729
TRV · TRAVELERS COMPANIES INC COM1,8541,811171681624105$61,070,111,547729
BIL · SPDR Bloomberg 1-3 Month T-Bill ETF1,2911,274107475592133$24,986,372,155725
SYY · SYSCOCORP1,6331,590186589599125$35,363,091,112724
CTAS · CINTAS CORP COM1,4281,388128507584137$46,192,163,512721
NSC · NORFOLK SOUTHN CORP COM1,8611,81811461163684$53,621,277,822720
EOG · EOG RES INC COM1,6371,593151672592127$65,696,034,980719
VBR · Vanguard Small-Cap Value ETF1,7631,74710864666156$20,803,686,492717
SCHD · SCHD2,1362,1121611,07063877$26,167,898,187715
VNQ · Vanguard Real Estate1,8031,78212075762192$21,969,015,748713
SLV · iShares Silver Trust1,4171,39877477494218$7,715,451,091712
FISV · FISERV INC1,1471,12185387509201$23,407,944,529710
REGN · REGENERON PHARMACEUTICALS COM1,3381,296114483542168$57,076,172,968710