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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 11:22:01 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
BANC · BANC OF CALIFORNIA INC310302391199545$3,212,940,131140
GSAT · GLOBALSTAR INC31230388908159$2,725,741,425140
DDS · DILLARDS INC CL A312302511208257$4,427,732,196139
REYN · REYNOLDS CONSUMER PRODS INC COM298290711079247$1,761,406,554139
BNL · BROADSTONE NET LEASE INC COM3783636015110237$3,880,307,402139
CERT · CERTARA INC COM24123554926970$880,239,852139
BBAI · BIGBEAR AI HLDGS INC COM328320491299049$687,743,093139
CAE · CAE INC COM283273291139940$5,873,321,148139
SNDR · SCHNEIDER NATIONAL INC3403287711310336$2,550,393,690139
ASB · ASSOCIATED BANC-CORP3963866215510336$4,642,936,311139
CDP · COPT DEFENSE PROPERTIES3273153511510930$4,608,135,137139
AMBA · AMBARELLA INC342325851198950$3,131,486,945139
MBLY · MOBILEYE GLOBAL INC297288561078257$1,779,914,895139
IBTG · ISHARES TR3193152211211722$1,858,729,980139
AS · AMER SPORTS INC352341581738851$7,150,351,210139
VONE · VANGUARD SCOTTSDALE FDS4114024612211919$4,769,435,065138
WIT · WIPRO LTD SPON ADR 1 SH299294571159543$720,950,057138
EFOR · EVERFORTH INC COM24723973766474$774,063,778138
FTSL · FIRST TR EXCHANGE-TRADED FD3042992513011325$1,630,740,490138
AMRX · AMNEAL PHARMACEUTICALS INC311300441368652$2,823,186,675138
CNA · CNA FINL CORP3113025110910335$13,242,967,076138
DHT · DHT HOLDINGS INC3083015912310038$2,108,353,009138
LZ · LEGALZOOM COM INC24323545739939$1,001,352,579138
STNG · SCORPIO TANKERS INC307296491358058$2,563,694,491138
CPK · CHESAPEAKE UTILS CORP333322351499840$2,731,393,293138
SMFG · SUMITOMO MITSUI FIN GRP INC463458612289543$3,162,691,352138
FBP · FIRST BANCORP CORPORATION3072964210910038$3,833,824,705138
ICF · ISHARES TR372367349611721$1,340,542,605138
OI · O-I GLASS INC307296531198750$1,539,146,312137
STNE · STONECO LTD27526650948453$1,735,967,436137
PRVA · PRIVIA HEALTH GROUP INC3022924211410334$3,177,891,967137
HE · HAWAIIAN ELEC INDS INC MTN B337327351349839$1,934,184,345137
TNDM · TANDEM DIABETES CARE INC27426745959146$1,188,509,749137
WRBY · WARBY PARKER INC303293611297760$3,783,506,662137
ATEC · ALPHATEC HLDGS INC267256361078453$966,609,711137
IGF · ISHARES TR438431631929640$8,054,475,031136
NVTS · NAVITAS SEMICONDUCTOR CORP COM350339991188947$2,443,035,505136
JPIE · JPMORGAN INCOME ETF4804726126210927$5,940,979,164136
KFY · KORN FERRY COM NEW3633525315610036$3,410,023,245136
RDY · DR REDDYS LABS LTD ADR23923127759937$1,818,554,630136
GHC · GRAHAM HLDGS CO COM CL B3383273311111026$3,114,381,002136
NGVT · INGEVITY CORP COM3163074310210135$2,622,239,280136
PAA · PLAINS ALL AMERN PIPELINE L4224193912510630$6,437,156,969136
SPHD · INVESCO EXCH TRADED FD TR II3593524213010531$1,094,501,925136
ILF · ISHARES TR LATN AMER 40 ETF333328691318155$1,627,790,431136
TRIP · TRIPADVISOR INC292283491028947$1,804,011,593136
BLBD · BLUE BIRD CORP3042945011410234$2,546,522,810136
PLUS · EPLUS INC289280421029937$2,096,160,754136
ARQT · ARCUTIS BIOTHERAPEUTICS INC272263399510036$3,446,240,397136
AWR · AMER STATES WTR CO COM4103956416510431$2,728,080,547135
TCAF · T. ROWE PRICE CAPITAL APPRECIATION EQUITY ETF3593553414912411$5,387,480,463135
FER · FERROVIAL NV ORD SHS3373225015110431$16,536,962,929135
RCI · ROGERS COMMUNICATIONS INC CL B310300371249342$8,400,172,368135
HWKN · HAWKINS INC3353264911210827$2,316,671,485135
UPWK · UPWORK INC297287531188748$1,059,675,411135
MLPX · GLOBAL X FDS346341421389639$2,496,493,971135
ICLN · iShares S&P Global Clean Energy Index Fund4794751001608945$1,068,083,873134
IPAR · INTERPARFUMS INC COM315307391259935$2,404,915,855134
DMC · DEL MONTE CORP ORD22521827888153$951,540,771134
NWN · NORTHWEST NAT HLDG CO COM320311331309440$1,684,143,245134
CNK · CINEMARK HLDGS INC COM310300599110925$3,751,989,244134
PDI · PIMCO DYNAMIC INCOME FD3773743717110232$1,196,461,058134
MD · PEDIATRIX MEDICAL GROUP INC3042943811210430$2,116,916,397134
NOVT · NOVANTA INC3923808514910826$7,273,931,870134
OPLN · OPENLANE INC3523418111710529$4,432,638,966134
HCSG · HEALTHCARE SVCS GROUP INC274264449210430$1,754,398,068134
AVLV · Avantis US Large Cap Value ETF56855610128511320$14,952,284,404133
FIG · FIGMA INC CL A3743641261276469$6,650,675,139133
ENVX · ENOVIX CORPORATION COM300292291139835$674,144,984133
BXMT · BLACKSTONE MORTGAGE TRUST INC COM CL A3473354313210033$1,832,117,647133
KVYO · KLAVIYO INC COM SER A277267671017657$2,194,683,054133
LBTYA · LIBERTY GLOBAL LTD29728446949736$1,947,326,432133
TWST · TWIST BIOSCIENCE CORP3383248610010231$7,854,875,378133
AZTA · AZENTA INC24924341958053$1,281,551,312133
FHLC · FIDELITY COVINGTON TRUST3873825213710726$1,478,902,889133
UCB · UNITED CMNTY BKS BLAIRSVLE G373363531349835$3,697,640,313133
MXL · MAXLINEAR INC4364202289110330$9,467,639,633133
KMT · KENNAMETAL INC340328601369736$2,827,729,544133
PRAX · PRAXIS PRECISION MEDICINES I311298561239439$11,294,704,387133
COCO · VITA COCO CO INC3413311081039637$3,277,626,500133
EQX · EQUINOX GOLD CORP327319611168845$4,419,140,835133
FRSH · FRESHWORKS INC CLASS A COM344332701497557$2,148,061,073132
ARCB · ARCBEST CORP COM332320789910626$3,294,321,697132
SUSC · ISHARES ESG AWARE USD CORPORATE BOND ETF3052992513011121$1,125,029,308132
ACMR · ACM RESH INC COM CL A3773681171269339$6,112,707,285132
BGC · BGC GROUP INC CL A366355511568745$3,322,021,950132
UHAL-B · U HAUL HOLDING COMPANY3333225710810824$3,658,783,775132
DXJ · WISDOMTREE TR4224195214910626$3,347,367,143132
SBH · SALLY BEAUTY HLDGS INC24924131868844$1,464,133,354132
ENOV · ENOVIS CORPORATION25324441888943$1,454,174,550132
SXI · STANDEX INTL CORP328315669610923$4,549,288,935132
FHB · FIRST HAWAIIAN INC3723626715310131$3,967,814,355132
GLOB · GLOBANT S A292280611247161$1,474,174,100132
VSTS · VESTIS CORPORATION28327651789735$1,877,840,272132
IRTC · IRHYTHM HOLDINGS INC COM305295411219141$4,239,374,214132
BKD · BROOKDALE SR LIVING INC294286491129339$4,322,870,386132
RING · ISHARES INC ETF MSCI GLOBAL GOLD MINERS ETF NEW20920824667260$631,068,372132
BITB · Bit Digital, Inc. Ordinary Shares273272211068645$627,213,163131
OTTR · OTTER TAIL CORP3633514414310328$2,647,950,383131
INSW · INTERNATIONAL SEAWAYS INC COM366353751498843$3,103,691,911131