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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 2026-10-09 11:28:47 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
TSN · TYSON FOODS INC CL A87985387300363111$14,830,485,913474
SPYV · SPDR SER TR1,2201,2049349642153$29,808,133,293474
SPDW · SPDW1,2371,2199152841853$31,474,598,947471
XEL · XCELENERGY INC1,2951,25810155539477$48,014,569,789471
OEF · ISHARES TR1,0241,0097223341456$12,612,511,212470
FSLR · FIRST SOLAR INC COM1,012981144339361109$23,409,378,444470
BE · BLOOM ENERGY CORP1,2881,25637741438980$69,573,740,071469
KVUE · KENVUE INC1,015982101412367102$34,583,075,746469
DGRO · iShares Core Dividend Growth ETF1,3531,3329460640365$24,100,183,377468
CASY · CASEYS GEN STORES INC1,0881,05519435039374$26,141,433,297467
APO · APOLLO GLOBAL MGMT INC COM1,1791,14813549937789$45,752,553,702466
LH · LABCORP HOLDINGS INC COM SHS1,0501,0179735839373$22,199,345,127466
LQD · iShares iBoxx Inv Grade Corporate Bond ETF1,1221,1069543338085$33,119,852,308465
SCHM · Schwab US Mid-Cap ETF1,0741,0599136143035$10,214,817,065465
ADM · ARCHER DANIELS MIDLAND CO COM1,1641,12912844338184$32,110,189,180465
TDG · TRANSDIGM GROUP INC COM1,1481,11213244637095$69,987,164,009465
FICO · FAIR ISAAC CORP COM849820109267351112$25,750,849,265463
CRH · CRH PLC ORD1,029996127418359104$60,289,242,767463
LYB · LYONDELLBASELL INDUSTRIES NV SHS - A -885855117351302160$12,758,568,630462
LITE · LUMENTUM HLDGS INC COM1,3211,282364525326136$70,459,899,890462
CBOE · CBOE GLOBAL MKTS INC COM993967119396349113$22,644,206,384462
VMC · VULCAN MATLS CO COM1,0711,03512939036993$37,777,886,442462
JKHY · HENRY JACK & ASSOC INC71469191238310151$9,553,849,391461
SNA · SNAP ON INC COM1,0701,04110537937783$20,076,882,073460
IR · INGERSOLL RAND INC COM8998628427036991$32,904,444,893460
EA · ELECTRONIC ARTS INC COM1,0139836937037188$49,991,370,561459
VHT · VANGUARD HEALTH CARE ETF1,1221,11310036538672$6,322,325,668458
JBL · JABIL INC COM1,1231,09322338337681$39,213,402,031457
DLR · DIGITAL RLTY TR INC COM1,3321,29514858838968$67,977,852,066457
MSTR · STRATEGY INC CL A NEW85482991365271185$18,215,507,052456
PSA · PUBLIC STORAGE COM1,1281,09212044737086$48,600,359,660456
TTD · THETRADEDESKINCCLASSCLASSA68666496224261193$6,819,500,611454
TTE · TOTALENERGIES SE ACT1,0029769734835993$79,242,392,875452
IBKR · INTERACTIVE BROKERS GROUP INC COM CL A1,1201,08718639738566$33,785,754,464451
GRMN · GARMIN LTD SHS1,0119799040735497$26,108,675,226451
ROL · ROLLINS INC COM832802110296331120$11,813,462,631451
UAL · UNITED AIRLS HLDGS INC COM1,0711,042194364347103$39,455,031,597450
IWP · ISHARES RUSSELL MID-CAP GROWTH ETF1,2241,2069735439852$16,367,360,654450
BBY · BEST BUY INC COM871849118329331119$14,926,533,755450
VTEB · VANGUARD TAX-EXEMPT BOND ETF1,4081,39411069538663$30,774,500,644449
DXCM · DEXCOM INC COM977942115397349100$25,959,727,568449
TRI · THOMSON REUTERS CORP COM1313316443$71,241,661449
B · BARRICK MNG CORP1,01398387384340108$36,893,859,715448
DPZ · DOMINOS PIZZA INC COM73871496280290158$10,878,622,977448
NU · NU HLDGS LTD86384093338312135$38,553,582,326447
MASI · MASIMO CORP COM22002445$16,196447
IRM · IRON MTN INC DEL COM1,1731,13714344638660$32,441,349,304446
TRMB · TRIMBLE INC COM70968958245311133$11,956,880,575444
CCJ · CAMECO CORP COM1,0401,01411438234797$28,255,896,679444
TYL · TYLER TECHNOLOGIES INC COM76674096231328115$12,641,913,627443
IT · GARTNERINC65363680194298143$9,689,070,825441
DECK · DECKERS OUTDOOR CORP86583793321341100$13,277,281,147441
VICI · VICI PPTYS INC COM9489219641334596$28,080,100,893441
ATO · ATMOS ENERGY CORP COM1,0461,00612141634595$28,027,509,944440
EMXC · ISHARES INC1,0251,00913233739545$19,315,126,037440
STLD · STEEL DYNAMICS INC COM1,02499114534537465$27,313,535,660439
AXON · AXONENTERPRISEINC1,1331,096190476325113$40,430,452,606438
TRGP · TARGA RES CORP COM1,0981,06213441436573$54,631,241,017438
A · AGILENT TECHNOLOGIES INC COM1,1351,09913445336078$34,581,830,320438
RF · REGIONS FINANCIAL CORP NEW COM1,1111,07810643635681$21,839,247,045437
EXPD · EXPEDITORS INTL WASH INC COM95993211631836472$20,528,021,936436
VGSH · Vanguard Short-Term Treasury ETF1,0971,08310447936469$19,353,439,504433
VT · Vanguard Total World Stock ETF1,3231,30413657138053$20,954,385,396433
WSM · WILLIAMS SONOMA INC COM1,00697914233636865$26,404,152,204433
PPG · PPG INDS INC COM1,0961,06212138636171$24,368,309,381432
COWZ · PACER FDS TR8648544133137557$11,595,671,701432
FERG · FERGUSON ENTERPRISES INC COMMON STOCK NEW9509249837234585$44,007,686,678430
CHRW · C H ROBINSON WORLDWIDE IN COM NEW894866118319321109$22,674,669,938430
RJF · RAYMOND JAMES FINL INC COM9068756933234486$23,059,784,815430
TTWO · TAKE-TWO INTERACTIVE SOFTWARE COM1,1221,085172459320109$43,424,653,760429
DLTR · DOLLAR TREE INC COM869840109292327101$23,588,108,254428
AL · AIR LEASE CORP33002424$27,096426
PFF · ISHARES TR9769607736734976$5,121,979,751425
CF · CF INDUSTRIES HOLD COM968939163377310115$17,228,058,174425
KHC · KRAFT HEINZ CO COM1,1191,093127483315110$25,215,221,024425
GSK · GSK PLC SPONSORED ADR1,0451,0269237834481$18,166,755,631425
DGX · QUEST DIAGNOSTICS INC COM1,1131,07711142935470$22,202,198,753424
SYF · SYNCHRONYFINL1,00898211140535172$26,201,374,800423
XYZ · BLOCK INC CL A1,0851,05417739533390$33,629,786,317423
ET · ENERGY TRANSFER L P1,3041,2817554534974$21,106,013,426423
ITA · iShares U.S. Aerospace & Defense ETF1,0471,03410537532993$7,075,138,186422
VSNT · VSNT79577783204314108$4,398,200,447422
STRL · STERLING INFRASTRUCTURE INC COM88786023021237349$21,985,482,982422
VTRS · VIATRIS INC COM1,0331,0019837032597$16,602,852,385422
RBLX · ROBLOX CORP CL A793768105291269153$31,007,124,172422
MTD · METTLER TOLEDO INTERNATIONAL COM8097787224933389$26,158,257,008422
HPQ · HP INC COM1,0871,05613942833388$18,392,578,173421
CNC · CENTENE CORP DEL COM1,00797821334234476$31,005,198,089420
ODFL · OLD DOMINION FREIGHT LINE INC COM1,02799213639834575$35,803,514,999420
RL · RALPH LAUREN CORP80878310727132793$15,721,372,317420
LEN · LENNAR CORP CL A939917109391309109$19,259,059,369418
DRI · DARDEN RESTAURANTS INC COM1,0871,04813743032989$23,194,648,559418
DOC · HEALTHPEAK PROPERTIES INC COM7657419323332593$14,148,015,316418
SPSM · SPDR Portfolio S&P 600 Small Cap ETF1,0581,04310342837641$12,556,355,582417
BNDX · Vanguard Total International Bond Index Fund ETF1,1221,1018957532493$45,687,610,918417
NTAP · NETAPP INC COM96993917331834572$29,983,734,809417
PINS · PINTEREST INC CL A678658108192277139$10,809,471,689416
EXE · EXPAND ENERGY CORPORATION COM854823101364269147$19,993,694,677416
LVS · LAS VEGAS SANDS CORP COM71368863256298118$12,465,014,743416
SEE · SEALED AIR CORP NEW11001415$13,404416