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Most held stocks

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 2026-10-06 12:09:13 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
MSFT · Microsoft Corp6,2196,1251293,1952,434134$2,047,880,623,3716,125
AMZN · Amazon.com, Inc6,1336,0412102,9322,41698$1,719,605,395,5946,041
AAPL · Apple Inc6,1166,0331032,5822,943102$2,794,489,671,9286,033
NVDA · NVIDIA Corp5,9645,8702132,9972,342118$3,346,457,078,6985,870
GOOGL · Alphabet Inc. Reg. Shares A5,7845,6992422,3382,616104$1,675,865,210,5895,699
GOOG · Alphabet Inc. Reg. Shares C5,2365,1602142,0102,323110$1,190,059,124,9755,160
JPM · JPMorgan Chase & Co5,1315,0531622,2622,102114$643,447,384,6135,053
META · META PLATFORMS INC CL A5,0614,9771602,4551,920194$956,862,681,4464,977
BRK-B · Berkshire Hathaway Inc4,9074,8371532,0121,989122$460,314,961,1594,837
AVGO · Broadcom Inc.4,8264,7422742,2861,883142$1,400,945,702,5684,742
JNJ · Johnson & Johnson4,6764,6071532,0551,907121$456,777,991,1374,607
SPY · SPY4,6514,6071831,8051,925121$447,729,650,7194,607
LLY · Eli Lilly and Company4,6234,5443472,2081,479107$942,342,786,3334,544
V · Visa Inc4,5674,4902352,0371,768131$511,737,409,9854,490
WMT · Walmart Inc.4,4024,3321411,8751,852186$335,915,861,3384,332
TSLA · Tesla Motors, Inc4,2934,2212312,0861,375146$706,221,379,4244,221
COST · Costco Wholesale Corporation4,2374,1641391,7261,729156$301,602,644,3464,164
ABBV · AbbVie,Inc.4,2134,1402271,9211,536110$335,135,359,4744,140
IVV · ISHARES TR CORE S&P 500 ETF4,1014,0601801,8281,46972$706,037,747,9774,060
CVX · Chevron Corporation4,1224,0521121,8081,727276$243,408,268,5874,052
HD · Home Depot, Inc4,1014,0301631,6951,776186$263,906,123,2174,030
CSCO · Cisco Systems,Inc.4,0703,9984401,3471,851103$371,956,688,9433,998
CAT · Caterpillar Inc.4,0463,9803921,4341,595106$350,872,423,9303,980
QQQ · INVESCO QQQ TR3,9973,9602911,6261,474127$178,046,947,1573,960
VOO · Vanguard S&P 500 ETF4,0003,9572212,0371,23581$379,303,070,9713,957
PG · Procter & Gamble Co4,0203,9511351,6661,714123$238,933,654,2713,951
AMD · Advanced Micro Devices,Inc.3,9853,9169291,2781,464138$681,970,382,6563,916
MU · Micron Technology,Inc.3,8933,8259831,2621,437121$1,007,845,500,1203,825
XOM · EXXON MOBIL CORP3,8733,816991,5171,7721,000$363,795,908,8943,816
MRK · Merck & Co.,Inc.3,8283,7611581,6281,498115$254,046,772,6253,761
VTI · VTI3,6813,6481781,6211,32864$197,049,915,7243,648
IBM · International Business Machines Corporation3,6273,5702841,6291,240139$172,040,515,1703,570
KO · Coca-Cola Company3,6323,5631731,5751,365109$263,022,416,0533,563
BAC · Bank of America Corp3,6073,5392561,5241,349123$304,698,605,8493,539
MA · MasterCard, Inc3,6113,5361631,3761,563159$396,177,915,8953,536
INTC · Intel Corp3,5583,4971,0731,0091,168114$487,138,203,4373,497
TSM · TAIWAN SEMICONDUCTOR MFG3,5623,4974031,4461,299110$362,772,605,0073,497
ORCL · Oracle Corporation3,5173,4522041,5541,334171$188,654,053,4513,452
AMAT · Applied Materials,Inc.3,4993,4336681,0781,348117$476,072,600,0303,433
MCD · McDonalds Corporation3,4633,4021221,3431,499246$142,454,806,6993,402
RTX · Raytheon Technologies Corporation3,4473,3781731,5021,294181$205,100,884,2883,378
GEV · GE Vernova Inc.3,4403,3724341,4711,003128$247,898,520,3823,372
GE · General Electric Company3,4183,3563461,4291,150141$308,008,616,2303,356
PEP · PepsiCo,Inc.3,4033,3421091,3361,526243$146,486,922,1053,342
NFLX · Netflix, Inc3,3783,3111581,4941,387394$243,656,124,3563,311
UNH · UnitedHealth Group Inc3,3763,3074801,3051,261141$324,790,375,9543,307
GS · Goldman Sachs Group,Inc.3,1693,1072541,2531,14688$217,396,372,6633,107
AMGN · Amgen Inc.3,1493,0841391,2671,226122$161,618,433,7063,084
VZ · Verizon Communications Inc3,1413,0791211,4291,256248$121,522,845,6223,079
LRCX · Lam Research Corporation3,1023,0415771,0631,15994$462,472,424,9333,041
GLD · SPDR GOLD TR3,0232,9911051,0131,165227$48,936,045,2922,991
NEE · NextEra Energy,Inc.3,0372,9711481,4001,073147$155,074,604,0452,971
QCOM · Qualcomm Incorporated3,0202,9624369371,348135$155,082,340,0692,962
VEA · Vanguard FTSE Developed Markets ETF2,9952,9591641,46899480$171,168,183,9002,959
AXP · American Express Company2,9992,9382241,2061,060115$195,056,331,8892,938
ABT · Abbott Laboratories2,9682,9091531,0571,384281$125,093,775,8282,909
DIS · Walt Disney Co2,9322,8731171,0401,374185$127,233,316,9762,873
PM · Philip Morris International Inc.2,9232,8621861,2421,005119$235,660,409,3642,862
VUG · Vanguard Growth2,8872,8592282,5603274$143,219,852,0472,859
PANW · PALO ALTO NETWORKS INC2,9062,8435559441,131126$227,055,799,6872,843
UNP · Union Pacific Corporation2,8802,8232041,20498896$143,898,586,0772,823
WFC · Wells Fargo & Company2,8702,8101711,0861,138113$193,230,550,5362,810
IJR · iShares Core S&P Small-Cap ETF2,8372,8071821,1261,14286$83,204,393,4172,807
TXN · Texas Instruments Incorporated2,8562,7984861,04895688$241,072,302,3132,798
PLTR · Palantir Technologies Inc. Class A2,8452,7821731,2621,110324$168,934,779,7072,782
PFE · Pfizer Inc.2,8272,7691161,1601,213235$91,958,564,6242,769
VTV · Vanguard Value ETF2,7962,7691691,24189990$129,188,431,6262,769
LMT · Lockheed Martin Corporation2,7752,7211181,1761,027258$88,297,189,9792,721
IJH · IJH2,7352,7031551,1061,03275$100,751,506,0562,703
IWM · iShares Russell 2000 ETF2,7302,6972528201,07197$83,739,190,9122,697
TJX · TJX Companies Inc2,7452,6741511,2011,040137$154,087,872,8622,674
MS · Morgan Stanley2,7322,6723221,10494090$281,714,512,2432,672
XLK · Technology Select Sector SPDR Fund2,6572,62630687696469$66,098,662,8312,626
T · AT&T Inc2,6822,6231201,1061,161412$95,263,065,5292,623
ETN · Eaton Corp. Plc2,6642,6132581,112914112$140,329,936,8592,613
GLW · CORNING INC2,6702,612541895952122$160,279,820,4982,612
LOW · Lowes Companies,Inc.2,6472,5981319001,199175$97,596,805,4302,598
DE · Deere & Company2,6522,5971951,018889134$128,328,018,0182,597
C · Citigroup Inc.2,6322,5762681,03098594$187,086,078,9842,576
BA · Boeing Company2,6252,5742231,066845119$129,344,727,2952,574
VWO · VWO2,6052,5701471,20891293$88,479,377,2412,570
VIG · Vanguard Dividend Appreciation ETF2,5892,5641351,04494467$51,416,472,9572,564
TMO · Thermo Fisher Scientific Inc.2,6192,5531709291,160146$169,069,201,8302,553
MO · Altria Group Inc2,5642,5181791,136836109$77,059,717,6592,518
IWF · ISHARESRUSSELL1000GROWTHETF2,5062,4781402,2842868$97,529,323,6162,478
BMY · Bristol-Myers Squibb Company2,5152,4601469961,003158$96,438,803,6962,460
ASML · ASMLHLDGNVFSPONSOREDADR1ADRREPS1ORDSHS2,5012,454415920790104$149,791,764,5462,454
VO · Vanguard Mid-Cap ETF2,4792,4511552,2443467$75,557,095,1642,451
VB · Vanguard Small-Cap ETF2,4722,44714198890255$47,743,374,2602,447
KLAC · KLA CORP2,4832,4264951,940991$369,014,297,3602,426
DUK · Duke Energy Corporation2,4772,4231411,131805134$68,825,343,0202,423
IEFA · iShares Core MSCI EAFE ETF2,4522,4231291,22476383$161,897,047,9622,423
CRM · Salesforce.com, Inc2,4782,4171528201,288343$109,446,449,6492,417
COP · ConocoPhillips2,4652,402143953981246$106,311,078,1872,402
CRWD · CROWDSTRIKE HLDGS INC2,4562,399489857853126$143,473,847,4842,399
UBER · Uber Technologies2,4292,376192968991204$121,380,547,3742,376
IEMG · iShares Core MSCI Emerging Markets ETF2,4082,36818596995870$139,026,845,2402,368
SBUX · Starbucks Corporation2,3902,3331848691,002132$99,614,315,1222,333
WM · Waste Management, Inc.2,3692,311125940921112$74,100,604,1792,311
SO · Southern Company2,3572,3051171,100728114$79,853,317,5202,305