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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 16:08:14 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
CAG · CONAGRA FOODS INC790772154325212155$5,706,076,901367
UHS · UNIVERSAL HLTH SVCS INC CL B59857764217244123$7,769,864,796367
BWXT · BWX TECHNOLOGIES INC85682611132028384$16,469,336,855367
PPL · PPL CORP COM1,0371,00611345829274$24,958,916,018366
CCK · CROWN HLDGS INC COM6085846518627690$11,989,983,759366
THC · TENET HEALTHCARE CORP COM NEW68266088234264102$15,003,562,924366
AVUV · Avantis US Small Cap Value ETF1,1491,13412459332144$20,219,823,031365
TIP · iShares TIPS Bond ETF1,0251,0118642928085$10,166,058,232365
DVN · DEVON ENERGY CORP NEW COM1,4691,434341793235130$41,993,497,699365
ALNY · ALNYLAM PHARMACEUTICALS INC COM7947688232228580$40,127,289,967365
AVEM · Avantis Emerging Markets Equity ETF1,01399612946132440$23,637,202,988364
DEO · DIAGEO PLC SPON ADR NEW72972285240261103$4,541,078,455364
FIVE · FIVE BELOW INC COM61359891195253111$9,952,254,343364
ACM · AECOM COM57756175184238126$8,341,166,430364
DOCU · DOCUSIGN INC COM67564983239248115$7,870,199,747363
RIO · RIO TINTO PLC SPONSORED ADR97195810538628875$12,163,833,327363
IJS · iShares S&P Small-Cap 600 Value ETF8898777323532438$5,265,086,217362
TOST · TOASTINCCLASSCLASSA774750121295250112$13,332,227,833362
AES · AES CORP COM70667973268249113$9,377,309,031362
CSL · CARLISLE COS INC COM7987707728129566$14,594,527,271361
TM · TOYOTA MOTOR CORP ADS64463768205236125$4,346,264,705361
XLB · SELECT SECTOR SPDR TR93291811536926893$6,675,005,569361
GWRE · GUIDEWIRE SOFTWARE INC COM54952780162233127$10,416,875,013360
WPC · WP CAREY INC COM90687310034630159$12,820,704,456360
CP · CANADIAN PACIFIC KANSAS CITY COM9839579333430456$54,776,164,639360
USFD · US FOODS HLDG CORP COM6746557722927783$24,072,421,679360
HUM · HUMANA INC COM92989823132026892$47,191,557,739360
THRO · BLACKROCK ETF TRUST496488548632632$6,621,055,766358
QQQM · INVESCO EXCH TRADED FD TR II1,3641,34920667931443$39,401,531,343357
TPL · TEXAS PACIFIC LAND CORPORATION COM8758469034528373$21,953,689,834356
TECH · BIO-TECHNE CORP597578124162244112$12,347,809,749356
PNR · PENTAIR PLC SHS7257038726425897$11,728,882,449355
TD · TORONTO DOMINION BK ONT COM NEW90287610726930550$97,844,311,384355
AVB · AVALONBAY CMNTYS INC COM7597367626329065$24,915,132,980355
INGR · INGREDION INC COM61359667212232122$5,909,699,265354
ROKU · ROKU INC COM CL A787759199231245109$15,748,011,395354
NVT · NVENT ELEC PLC SHS98094820733729559$24,902,552,689354
TXT · TEXTRON INC COM7937709027926886$14,566,625,704354
IJJ · iShares S&P Mid-Cap 400 Value ETF8838696921631637$6,328,598,900353
SONY · SONY GROUP CORP SPONSORED ADR7447309023227479$9,519,408,464353
INSM · INSMED INC COM PAR $.01667647112247231122$23,849,717,276353
PDD · PDD HOLDINGS INC SPONSORED ADS50949655148237116$32,873,342,458353
MAS · MASCO CORP92489114034929360$16,297,916,409353
GLDM · WORLD GOLD TR9199089940226984$14,189,616,081353
CACI · CACI INTL INC CL A61760051197252100$10,306,743,793352
ALGN · ALIGN TECHNOLOGY INC COM6766496721827181$12,198,910,434352
CRDO · CREDO TECHNOLOGY GROUP HOLDING ORDINARY SHARES98596034230127774$35,868,612,845351
WPM · WHEATON PRECIOUS METALS CORP COM8548287932827378$32,969,103,985351
ZBRA · ZEBRA TECHNOLOGIES CORPORATION CL A645624115191242109$12,856,904,032351
SF · STIFEL FINL CORP5965765619125992$9,644,621,702351
DTE · DTE ENERGY CO COM1,0371,00511943827674$25,737,271,370350
ARCC · ARES CAPITAL CORP7887816730426090$4,512,927,974350
NXT · NEXTPOWER INC CLASS A COM72770811524425693$18,554,215,626349
EXEL · EXELIXIS INC COM76073412225528464$14,096,052,093348
FE · FIRSTENERGY CORP9329029741425295$24,594,536,263347
INCY · INCYTE CORP COM86183711736327472$22,990,586,337346
DGRW · WISDOMTREE TR7967856226730343$12,556,187,777346
IXUS · ISHARES TR1,0591,0439545630837$50,226,305,204345
ARM · ARM HOLDINGS PLC96794730228525986$34,985,911,970345
RDDT · REDDIT INC CL A898877195356243101$21,798,729,292344
RACE · FERRARI N V7196949522624994$22,634,656,903343
CLS · CELESTICA INC COM87885317234127271$29,038,418,514343
EFG · ISHARES MSCI EAFE GROWTH ETF1,0631,0499347929251$15,037,173,299343
WWD · WOODWARD INC COM75973310627026281$22,866,903,028343
FNF · FIDELITY NATIONAL FINANCIAL7166966424626281$10,544,810,190343
NBIS · NEBIUS GROUP N.V.1,0681,04539629728162$42,881,205,159343
TPH · TRI POINTE HOMES INC22001342$3,052343
ALAB · ASTERA LABS INC COM99396736628725785$61,203,842,344342
SSNC · SS&C TECH HLDGS COM7287089129226082$12,584,235,433342
P · EVERPURE INC CL A81878712331026973$21,709,289,457342
ARES · ARES MANAGEMENT CORPORATION CL A COM STK810780119356232110$24,391,548,014342
CPNG · COUPANG INC5905758017524894$23,293,110,586342
COO · COOPER COS INC674652106256239102$15,017,911,159341
MAA · MID AMERICA APARTMENT COMMUNITIES INC.77775410129426674$15,641,890,750340
MOS · MOSAIC CO COM66964493280214126$6,398,420,362340
HEI · HEICO CORP NEW COM77775411425626872$15,359,275,106340
HDB · HDFC BANK LTD SPONSORED ADS55654650183240100$16,736,524,351340
NTR · NUTRIEN LTD COM7367198427324396$19,146,552,479339
KMX · CARMAX INC COM5575428713325881$7,801,249,525339
ORI · OLD REP INTL CORP COM6596417020026673$7,614,294,928339
FDS · FACTSET RESH SYS INC COM76775013227524593$9,220,344,631338
YUMC · YUM CHINA HLDGS INC66664864185237101$10,423,356,982338
IGV · iShares Expanded Tech-Software Sector ETF889879224311233104$11,654,285,525337
EQH · EQUITABLE HLDGS INC COM48446961142214123$11,647,400,210337
POOL · POOL CORP COM618606142196206131$8,629,141,726337
EXR · EXTRA SPACE STORAGE INC COM80277410028426967$29,943,728,899336
JLL · JONES LANG LASALLE INC COM6666467623326670$13,445,129,335336
SJM · SMUCKER J M CO89086613935225975$10,520,778,903334
BAI · BLACKROCK ETF TRUST66365313617831420$15,510,370,931334
ESGU · ISHARES TR8688578029330231$13,279,920,751333
ITT · ITT INC COM7236977624225776$17,374,802,225333
BG · BUNGE GLOBAL SA COM SHS74471911528924884$19,607,372,077332
PRIM · PRIMORIS SVCS CORP COM451437111128163169$5,437,349,019332
SFM · SPROUTS FMRS MKT INC COM6496279321624487$8,703,537,573331
FN · FABRINET SHS76374017225425180$20,365,566,940331
DKS · DICKS SPORTING GOODS INC COM79077213128024982$15,666,532,900331
MINT · PIMCO ETF TR7657557331828051$11,323,528,969331
HRL · HORMEL FOODS CORP COM6276108623123397$5,988,441,486330
FLS · FLOWSERVE CORP59357589204208122$10,603,326,394330
PFG · PRINCIPAL FINANCIAL GROUP INC COM96193410439327356$18,382,511,089329