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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 12:19:23 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
WRB · BERKLEY W R CORP COM95492611133533085$19,686,163,908415
EIX · EDISON INTL COM1,0801,04510447132985$26,915,377,700414
STE · STERIS PLC SHS USD83680697299309103$20,012,581,963412
FLEX · FLEX LTD ORD1,1231,08738927735755$56,121,148,002412
CDW · CDW CORP COM759733105258303108$18,914,974,105411
KTOS · KRATOS DEFENSE & SEC SOLUTIO632613103232226185$7,685,817,219411
BLDR · BUILDERS FIRSTSOURCE INC COM67265393241261149$9,626,440,618410
IGSB · ISHARES 1-5 YEAR INVESTMENT GRADE CORPORATE BOND ETF1,0141,0047442733377$16,095,899,219410
MEDP · MEDPACE HLDGS INC COM70068169205309101$13,063,920,509410
CSGP · COSTAR GROUP INC COM760733108303266143$11,736,676,739409
ON · ON SEMICONDUCTOR CORP COM1,00097222930934068$37,805,742,906408
MKL · MARKELGROUPINC9309079832331790$18,807,125,453407
GPN · GLOBAL PMTS INC7997758727831196$20,495,492,008407
ES · EVERSOURCE ENERGY COM1,1271,09313547732284$23,453,020,701406
TDY · TELEDYNE TECHNOLOGIES INC COM89186311927532977$29,996,847,898406
IWN · ISHARES TR1,0811,0699030036046$10,390,125,860406
BINC · BlackRock Flexible Income ETF7807716933033173$13,818,753,086404
VOT · Vanguard Mid-Cap Growth ETF1,1041,0869636935350$12,011,985,071403
UTHR · UNITED THERAPEUTICS CORP DEL COM88686010231833469$22,632,706,464403
CINF · CINCINNATI FINL CORP COM95693211633931588$20,648,331,705403
RKT · ROCKET COS INC798774114301264138$15,139,695,686402
ZBH · ZIMMER BIOMET HOLDINGS INC COM9138838131531191$17,087,323,531402
NTRS · NORTHERN TR CORP COM1,02199412737033170$26,906,913,772401
RY · ROYAL BK CDA COM99096511232433070$129,559,765,880400
PTC · PTC INC COM68566399235285115$12,722,725,793400
SNY · SANOFI SA SPONSORED ADR71970980210297103$8,082,813,040400
SOLV · SOLVENTUM CORP COM SHS887861110251288111$9,840,294,708399
ILMN · ILLUMINA INC94091115430033465$27,456,100,250399
MOAT · VANECK ETF TRUST7337244617136039$6,809,664,323399
BRO · BROWN & BROWN INC COM811791113318276121$18,061,902,647397
HUBS · HUBSPOTINC60058590218223173$8,942,619,357396
DFAC · DIMENSIONAL ETF TRUST1,2231,2097049336828$38,288,678,627396
SPEM · SPDR Portfolio Emerging Markets ETF1,0391,0248045234946$12,357,562,087395
LPLA · LPL FINL HLDGS INC COM7697528925630392$23,338,764,448395
IWS · ISHARES RUSSELL MID-CAP VALUE ETF1,0501,0339028935639$11,956,274,379395
WY · WEYERHAEUSER CO COM NEW9088858134532174$15,568,088,553395
SOXX · ISHARES TR1,1901,17129733534945$22,098,352,752394
HAS · HASBRO INC COM77574465298283111$11,423,940,611394
CFG · CITIZENS FINL GROUP INC COM1,1011,07214547432172$28,599,685,219393
CHKP · CHECK POINT SOFTWARE TECH LTD ORD64262369207267126$9,845,896,869393
RGLD · ROYAL GOLD INC76574275288270123$14,148,637,307393
CW · CURTISS WRIGHT CORP COM95091911435532171$23,955,624,282392
PODD · INSULET CORP COM73270585329255137$10,935,199,884392
IEI · ISHARES TR8248096831131082$15,218,522,783392
IWO · ISHARES TR1,1071,09011826935141$11,865,423,565392
IBB · ISHARES TR96195110324831872$7,612,505,402390
HYG · ISHARES TR9929788842230980$21,765,789,549389
AA · ALCOA CORP COM71669887257249140$10,707,169,990389
PCG · PG&E CORP COM93891510840531376$36,186,939,430389
IAGG · ISHARES TR56955961206230159$8,459,641,721389
LUV · SOUTHWESTAIRLSCO93590915830729097$23,355,941,399387
BN · BROOKFIELD CORP CL A LTD VT SH9439149430932363$64,390,513,805386
AKAM · AKAMAI TECHNOLOGIES INC COM805778130292286100$18,879,818,299386
GGG · GRACO INC COM73471866262285100$11,296,305,070385
FOXA · FOX CORP CL A COM746724108255280104$13,499,305,685384
MDB · MONGODB INC CL A875847158327278106$24,973,258,128384
WCN · WASTE CONNECTIONS INC COM84281212428431074$35,356,042,019384
HUBB · HUBBELL INC COM1,02198710839631965$26,641,749,802384
IP · INTERNATIONAL PAPER CO COM859832119328282102$20,346,093,679384
DKNG · DRAFTKINGS INC NEW695676117180254130$10,312,862,562384
SCHV · SCHWAB STRATEGIC TR9959838237233450$11,564,320,038384
EL · LAUDER ESTEE COS INC CL A83581198333283100$18,127,305,371383
GNRC · GENERAC HLDGS INC1,00297319433632063$15,374,098,015383
SHV · iShares Short Treasury Bond ETF7267205426031171$9,737,217,805382
ZS · ZSCALERINC749726129282248134$11,678,759,026382
TWLO · TWILIO INC CL A97194321831831567$28,484,580,686382
CHTR · CHARTER COMMUNICATIONS INC N790768131287243138$14,221,690,729381
TLH · ISHARES TR6136054819131071$10,896,230,513381
OKTA · OKTAINCCLASSA82579818226328792$21,594,835,962379
BIIB · BIOGEN INC COM1,0471,01411242729782$30,714,515,541379
FTI · TECHNIPFMC PLC COM82179515030428197$25,607,565,845378
VRSN · VERISIGN INC COM88385711536029088$21,993,557,183378
SOFI · SOFI TECHNOLOGIES INC COM928908117397260118$11,770,211,510378
APTV · APTIV PLC66063571251265113$12,884,843,324378
BIV · Vanguard Intermediate-Term Bond ETF1,0251,0076949631364$18,981,687,813377
AVY · AVERY DENNISON CORP COM7867619427927899$12,077,710,033377
WTW · WILLIS TOWERS WATSON PLC LTD SHS6956756923628394$24,651,514,669377
WSO · WATSCO INC COM7887689024430671$15,737,799,327377
ZM · ZOOM COMMUNICATIONS INC CL A87685213833129086$17,454,615,434376
SCHE · SCHWAB STRATEGIC TR9008927234733441$5,587,983,979375
KEY · KEYCORP COM94291410633931064$21,730,893,743374
PKG · PACKAGING CORP AMER COM9048739235229974$20,816,643,616373
KDP · KEURIG DR PEPPER INC COM85982611434429081$47,405,045,071371
ALLE · ALLEGION PLC7377147226027794$12,131,876,020371
IJK · ISHARES TR99597910022432645$8,390,195,025371
BALL · BALL CORP8067779427629180$14,552,384,231371
VGK · Vanguard FTSE Europe ETF8968877530229575$16,119,217,734370
EMB · ISHARES TR8428268332328189$13,547,256,294370
MTZ · MASTEC INC COM91188517232629575$24,711,612,000370
GDDY · GODADDY INC CL A624603116201252118$11,194,836,744370
SAP · SAP SE SPON ADR81980596345249121$12,971,884,319370
LYV · LIVE NATION ENTERTAINMENT INC COM85281812032028585$35,930,725,931370
FTV · FORTIVE CORP COM8117898125131357$20,136,933,558370
ALC · ALCON AG ORD SHS6356197014727792$16,034,982,972369
APA · APA CORPORATION COM816792123305248121$11,714,072,824369
BWA · BORGWARNER INC COM81779516923829870$14,223,702,211368
BLD · TOPBUILD COR COM44543287102181187$9,753,867,249368
VTR · VENTAS INC COM95592510241229375$46,385,540,236368
VDE · Vanguard Energy ETF7667565623329275$3,078,643,603367
VXF · Vanguard Extended Market ETF1,0731,05910137832938$13,630,395,218367