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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 14:18:08 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
FVD · FIRST TR VALUE LINE DIVID IN6426293718830029$5,155,966,754329
SPLV · INVESCO EXCH TRADED FD TR II7627485525127950$4,295,829,468329
MBB · iShares MBS ETF1,0301,0177755924979$35,144,920,338328
CNQ · CANADIAN NAT RES LTD MED TERM COM7497269428724484$59,801,456,368328
EVRG · EVERGY INC COM9489188640326761$18,824,298,378328
ECHO · ECHOSTAR CORP704684148267218110$17,482,862,332328
PAYC · PAYCOMSOFTWAREINC601586106188224103$5,209,248,157327
EPAM · EPAM SYS INC COM44142772154164163$4,516,112,617327
AEE · AMEREN CORP COM9559279640325077$27,677,513,852327
SUB · ISHARES SHORT-TERM NATIONAL MUNI BOND ETF9169026938728047$9,657,276,912327
TXRH · TEXAS ROADHOUSE INC COM6506339920425572$12,474,276,035327
LECO · LINCOLN ELEC HLDGS INC7046817022027254$11,805,269,793326
BTI · BRITISH AMERN TOB PLC SPONSORED ADR9128999638126857$20,250,009,531325
CNI · CANADIANNATLRYCOF8498298229926460$49,362,899,802324
SU · SUNCOR ENERGY INC NEW COM7577367828325470$43,207,481,350324
CWAN · CLEARWATER ANALYTICS HLDGS I33003321$21,654324
WST · WEST PHARMACEUTICAL SVSC INC COM83480714330426162$25,242,513,869323
JAAA · JANUS DETROIT STR TR90889911243527647$18,329,749,970323
VGIT · Vanguard Intermediate-Term Treasury ETF9829709149625072$31,968,443,675322
CMS · CMS ENERGY CORP COM8227979633724181$24,166,282,376322
AOS · SMITH A O CORP COM6155947123922993$7,902,655,445322
SWKS · SKYWORKS SOLUTIONS INC COM71869311424024082$12,395,265,488322
MRNA · MODERNA INC78476013325823983$22,297,092,231322
TEAM · ATLASSIANCORPCLASSA696676163261194126$12,351,596,114320
TKO · TKO GROUP HOLDINGS INC CL A6576329021924278$14,786,697,684320
BJ · BJS WHSL CLUB HLDGS INC COM6396189522323585$12,073,444,954320
CELH · CELSIUS HLDGS INC544527103189183137$4,929,070,605320
SPTM · SPDR Portfolio S&P 1500 Composite Stock Market ETF7837736526129128$8,796,174,460319
APLS · APELLIS PHARMACEUTICALS INC11001318$10,175319
KGC · KINROSS GOLD CORP6446286723822692$17,415,045,525318
SE · SEA LTD78276411531423286$36,118,183,000318
EG · EVEREST GROUP LTD COM6916717926125959$14,179,940,629318
L · LOEWS CORP COM7897618230425167$14,006,114,416318
NI · NISOURCE INC COM9168889239824969$21,954,935,463318
CHWY · CHEWYINCCLASSCLASSA51950579195158159$7,843,460,522317
LNT · ALLIANT ENERGY CORP COM8838578736625265$19,314,737,477317
SMCI · SUPER MICRO COMPUTER INC76974313730123482$13,096,454,436316
OHI · OMEGA HEALTHCARE INVS INC COM7647408029625264$11,817,256,235316
WCC · WESCO INTL INC COM70668011820727936$16,218,000,012315
JEPQ · J P MORGAN EXCHANGE TRADED F1,0311,01811953826352$12,171,858,885315
ENSG · ENSIGN GROUP INC5545367717021698$8,456,525,227314
SPMD · SPDR Portfolio S&P 400 Mid Cap ETF8468367636327142$16,666,964,962313
VMRK · EQUITY RESIDENTIAL7186937725724964$24,869,340,217313
IWV · ISHARES TR9139038621027736$11,640,592,950313
SWK · STANLEY BLACK & DECKER INC COM77575312129224271$13,996,321,358313
TRU · TRANSUNION COM5235045817621499$16,147,267,753313
TERN · TERNS PHARMACEUTICALS INC COM11000313$75,401313
DFAT · DIMENSIONAL ETF TRUST8618516428628726$11,657,295,077313
XLRE · Real Estate Select Sector SPDR Fund80579810130625557$6,415,217,612312
DFAS · Dimensional US Small Cap ETF9169045640728131$12,714,612,900312
MGM · MGM RESORTS INTERNATIONAL66163912117423874$7,663,498,496312
G · GENPACT LIMITED SHS48046567176203108$4,960,443,682311
CIBR · FIRST TR EXCHANGE TRADED FD84683515131825853$7,898,886,903311
ESGE · ISHARES INC6396316218327436$5,136,719,705310
SBAC · SBA COMMUNICATIONS CORP CL A6866668525724367$18,521,445,607310
TOL · TOLL BROTHERS INC COM81079011931421595$14,233,842,952310
KNSL · KINSALECAPGROUPINC5955779317823178$7,108,758,436309
NTRA · NATERA INC COM85082515335724366$37,205,179,530309
IUSG · ISHARES CORE S&P U.S. GROWTH ETF93391810631826742$25,645,265,476309
RIVN · RIVIAN AUTOMOTIVE INC COM CL A8278089329722682$12,885,769,390308
RKLB · ROCKETLABCORPCLASSCLASSA1,1211,09431248123671$32,598,777,767307
MKSI · MKS INC. COM77775520824225453$31,335,166,087307
DINO · HF SINCLAIR CORP COM6886649525624661$10,841,474,925307
IDCC · INTERDIGITAL INC COM51249547187201106$7,716,306,073307
MLI · MUELLER INDS INC COM7447179131823176$12,510,129,853307
CLH · CLEAN HARBORS INC COM6636448920525155$14,767,946,933306
DT · DYNATRACE INC COM NEW5955759821522085$13,255,246,882305
FFIV · F5 INC COM83481016331224362$22,631,981,740305
WTRG · ESSENTIAL UTILS INC COM7036746825823866$8,575,392,507304
NYT · NEW YORK TIMES CO MTN BE CL A6356157822922876$11,662,523,686304
GEN · GEN DIGITAL INC COM68766410228021291$13,553,598,948303
Z · ZILLOW GROUP INC CL C CAP STK41640262133166137$5,363,345,694303
CRS · CARPENTER TECHNOLOGY CORP88185922831425251$28,616,073,336303
TW · TRADEWEB MKTS INC CL A5665496422921785$11,620,766,159302
RPM · RPM INTL INC COM7987759428824754$12,060,170,500301
CPAY · CORPAY INC COM SHS73771210827624654$21,349,481,292300
LKQ · LKQ CORP COM5345156319222080$7,234,360,007300
TTEK · TETRA TECH INC NEW5555354820621486$7,320,627,211300
CDE · COEUR MNG INC COM NEW683664127260196103$12,894,919,087299
NCLH · NORWEGIAN CRUISE LINE HLDGS LT SHS6386218319521187$9,924,508,297298
AER · AERCAP HOLDINGS NV SHS6966788227123959$19,912,386,985298
SCI · SERVICE CORP INTL COM5535356715321880$9,850,143,877298
VFH · VANGUARD WORLD FD7617517022624949$6,578,947,052298
AMCR · AMCOR PLC69567512029521385$15,578,544,445298
JBHT · HUNT J B TRANS SVCS INC COM85983215035423661$20,865,555,077297
TAP · MOLSON COORS BEVERAGE CO CL B6215999124420196$7,314,277,193297
OKLO · OKLO INC COM CL A674657113260176121$4,294,929,447297
GOVT · iShares U.S. Treasury Bond ETF9629489752923066$42,646,925,219296
CNP · CENTERPOINT ENERGY INC87183510735422670$30,740,994,970296
VMI · VALMONT INDS INC COM65463211419823066$10,561,030,964296
OC · OWENS CORNING NEW69366712923022274$13,147,869,116296
SNAP · SNAP INC535522101143180116$2,794,623,785296
RMBS · RAMBUS INC DEL COM62059413019022966$13,291,292,293295
FTCS · FIRST TR EXCHANGE-TRADED FD5525443714526431$4,653,661,120295
FHN · First Horizon Corporation6776557822624450$10,553,717,882294
AVAV · AEROVIRONMENT INC COM6125899522519599$5,118,200,383294
GBTC · GRAYSCALE BITCOIN TRUST ETF605600319121480$1,265,103,213294
DVA · DAVITA INC COM63361411718822568$13,116,301,959293
SCZ · ISHARES MSCI EAFE SMALL-CAP ETF7727595126825340$12,632,989,373293
WU · WESTERN UN CO COM48647279135190103$2,317,662,378293