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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 18:43:16 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
AMSC · AMERICAN SUPERCONDUCTOR CORP277268621077730$1,466,728,436107
EVLV · EVOLV TECHNOLOGIES HLDNGS IN26125142936740$702,715,091107
FBK · FB FINL CORP294287401148126$2,246,191,668107
UNIT · UNITI GROUP LLC27827063877730$2,590,495,799107
UTI · UNIVERSAL TECHNICAL INST INC263255481067631$2,642,375,403107
GOGO · GOGO INC18617936646344$283,860,708107
MCY · MERCURY GENL CORP NEW349341671497730$2,771,973,909107
BMBL · BUMBLE INC19118426715849$342,242,590107
WINA · WINMARK CORP21720820897334$1,359,635,557107
BEAM · BEAM THERAPEUTICS INC27726755947631$3,753,081,275107
HYDB · iShares High Yield Systematic Bond ETF19719417817135$1,101,837,218106
CWI · SPDR MSCI ACWI EX-US ETF27627223889214$2,214,280,274106
SPMB · SPDR Portfolio Mortgage Backed Bond ETF25825639988323$6,296,937,420106
IVOO · Vanguard S&P Mid-Cap 400 ETF34534058989511$2,159,806,449106
EPAC · ENERPAC TOOL GROUP CORP CL A COM277269471117927$1,833,657,947106
ERAS · ERASCA INC COM256246591027828$5,127,410,908106
PACB · PACIFIC BIOSCIENCES CALIF INC COM22321722707729$320,806,312106
NOMD · NOMAD FOODS LTD USD ORD SHS18818233637234$955,718,848106
PUMP · PROPETRO HLDG CORP269260551046442$2,078,885,529106
GRFS · GRIFOLS S A16415915526838$1,011,366,439106
NBHC · NATIONAL BK HLDGS CORP22421630718422$1,830,682,259106
BBCA · J P MORGAN EXCHANGE TRADED F25725543657828$7,906,278,438106
FRDM · EA SERIES TRUST320319581419214$2,554,517,561106
KOS · KOSMOS ENERGY LTD268260481196442$909,110,912106
PBR-A · PETROLEO BRASILEIRO S A22121536707630$3,875,750,089106
QUBT · QUANTUM COMPUTING INC313303631276145$994,896,220106
SGMO · SANGAMO THERAPEUTICS INC66210106$29,040106
GIII · G III APPAREL GROUP LTD24523637867828$1,398,346,994106
VRDN · VIRIDIAN THERAPEUTICS INC21420644965056$2,501,050,089106
GTN · GRAY MEDIA INC17517015547135$298,036,856106
FUTY · FIDELITY COVINGTON TRUST259255351107135$1,110,637,263106
BLFY · BLUE FOUNDRY BANCORP00000106106
HMN · HORACE MANN EDUCATORS CORP NEW COM261251391027629$2,178,982,135105
CIGI · COLLIERS INTL GROUP INC SUB VTG SHS18918122686342$3,428,692,258105
CSR · CENTERSPACE COM21720728807035$886,269,506105
TLK · TELEKOMUNIKASI IND SPONSORED ADR20920619797629$834,914,676105
JBGS · JBG SMITH PPTYS COM20719923627332$836,549,266105
DOLE · DOLE PLC21120435836639$942,045,213105
SUN · SUNOCO LP/SUNOCO FIN CORP30329829778421$4,491,056,479105
MYGN · MYRIAD GENETICS INC19619042755946$507,800,824105
NEO · NEOGENOMICS INC26625754956342$2,112,773,523105
MAPS · WM TECHNOLOGY INC1212034101$1,122,634105
BLND · BLEND LABS INC18317627566837$259,962,140105
SEZL · SEZZLE INC325315128858025$2,544,496,043105
RWT · REDWOOD TRUST INC22722028846639$430,877,352105
MRTN · MARTEN TRANSPORT LTD23022338797431$1,061,235,446105
PRAA · PRA Group Inc19719032647134$676,413,176105
INVA · INNOVIVA INC309298441328421$1,694,946,799105
ALNT · ALLIENT INC22922047817431$1,353,618,048105
FBRT · FRANKLIN BSP REALTY TRUST IN24323459647926$387,624,123105
SMLF · iShares U.S. Small Cap Equity Factor ETF302296451239113$3,462,769,074104
IMVT · IMMUNOVANT INC22721836747925$4,251,305,606104
NWBI · NORTHWEST BANCSHARES INC COM315306341247925$1,552,373,873104
CAMT · CAMTEK LTD ORD23522847776935$3,653,015,942104
MEOH · METHANEX CORP COM21020346825846$2,770,239,074104
SDGR · SCHRODINGER INC COM23122243826440$1,051,276,839104
DYN · DYNE THERAPEUTICS INC COM24523644897628$4,229,916,227104
ROG · ROGERS CORP COM311302701078519$2,959,502,679104
SNN · SMITH & NEPHEW PLC SPDN ADR NEW295292421267925$1,053,980,387104
ILCG · ISHARES MORNINGSTAR GROWTH ETF351347381069113$1,841,101,753104
IHG · INTERCONTINENTAL HOTELS GROUP SPONSORED ADS321319581287628$2,723,167,558104
AUPH · AURINIA PHARMACEUTICALS INC COM282275451058024$1,338,669,597104
GOLD · A-MARK PRECIOUS METALS INC22221547796242$719,975,354104
XSMO · INVESCO EXCHANGE TRADED FD T324320441498618$2,294,476,032104
NTST · NETSTREIT CORP269260381148024$3,182,076,549104
ALKT · ALKAMI TECHNOLOGY INC20419627686836$1,774,955,468104
CABO · CABLE ONE INC15314814645153$290,089,599104
PFSI · PENNYMAC FINL SVCS INC NEW23022231976737$2,928,990,414104
LEGN · LEGEND BIOTECH CORP21921256627826$2,976,658,128104
FWONA · LIBERTY MEDIA CORP DEL300291391137628$2,057,384,417104
SRRK · SCHOLAR ROCK HLDG CORP307294541308321$7,629,235,463104
CENTA · CENTRAL GARDEN & PET CO285278381218024$1,882,767,201104
CBRL · CRACKER BARREL OLD CTRY STOR27226359877133$1,195,430,549104
HTH · HILLTOP HLDGS INC23522829748321$1,240,736,834104
BWIN · THE BALDWIN INSURANCE GRP IN22822035697925$2,382,218,719104
WERN · WERNER ENTERPRISES INC271261631027331$2,983,618,138104
MBC · MASTERBRAND INC349339641515351$2,277,532,592104
MGEE · MGE ENERGY INC337328541487232$2,158,369,927104
FTA · FIRST TR EXCHANGE-TRADED ALP22922626668915$924,994,707104
HIMU · BLACKROCK ETF TRUST236231351037628$1,280,137,739104
AESI · ATLAS ENERGY SOLUTIONS INC28527973927430$1,753,708,474104
RWL · INVESCO EXCH TRADED FD TR II347342391588618$6,913,395,364104
VO · Vanguard Mid-Cap ETF2,4932,4651562,2553568$75,564,525,280103
BNTX · BIONTECH SE SPONSORED ADS28327737947231$4,362,080,331103
CRVL · CORVEL CORP COM290281371327330$1,731,421,825103
MNKD · MANNKIND CORP COM NEW25924848956241$776,085,638103
PRCT · PROCEPT BIOROBOTICS CORP COM253242351076637$1,238,931,288103
BATRK · ATLANTA BRAVES HLDGS INC324314441097627$2,360,610,454103
NUSC · NUSHARES ETF TR26926524998419$1,019,386,935103
XNEAX · NUVEEN AMT FREE QLTY MUN INC29729524977528$636,137,053103
DNP · DNP SELECT INCOME FD INC331326261217528$448,583,313103
RSI · RUSH STREET INTERACTIVE INC304296641327627$3,695,747,433103
ADTN · ADTRAN HOLDINGS INC25024251947528$1,167,585,793103
AGYS · AGILYSYS INC290283681077330$3,103,555,203103
CBU · COMMUNITY FINANCIAL SYSTEM I280271381057825$2,752,851,987103
URTH · ISHARES INC27427030848023$2,834,478,925103
LIT · GLOBAL X FDS29529341707528$457,124,294103
QLTA · ISHARES TR17817616567726$918,489,535103
GPRE · GREEN PLAINS INC22121544727627$1,191,747,134103
IBDU · iShares iBonds Dec. 2029 Corporate Bond ETF387385392237033$3,072,862,811103