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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 2026-10-11 14:50:28 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
FCNCA · FIRST CTZNS BANCSHARES INC DEL CL A6276098217223055$13,771,581,188609
LYG · LLOYDS BANKING GROUP PLC SPONSORED ADR6156088926714846$3,451,774,791608
CPB · THE CAMPBELLS COMPANY COM621608132253150101$4,124,061,221608
LUMN · LUMEN TECHNOLOGIES INC6246088019918255$5,598,951,723608
BUD · ANHEUSER BUSCH INBEV SA NV SPONSORED ADR61760710924114539$7,903,836,815607
UGI · UGI CORP NEW COM6256079325317066$7,021,029,678607
DY · DYCOM INDS INC COM62160615318421150$14,145,233,587606
POOL · POOL CORP COM618606142196206131$8,629,141,726606
TLH · ISHARES TR6136054819131071$10,896,230,513605
USFR · WISDOMTREE TR6136055323824744$10,163,799,726605
ALLY · ALLY FINL INC COM6216049724218462$13,370,338,023604
INVH · INVITATION HOMES INC COM6266039324221852$17,964,199,301603
BAM · BROOKFIELD ASSET MANAGMT LTD CL A LMT VTG SHS6256036421721367$67,034,557,889603
AIT · APPLIED INDL TECHNOLOGIES INC COM6236039223021053$11,942,075,210603
LNC · LINCOLN NATL CORP IND COM6206037623918871$5,803,804,156603
GDDY · GODADDY INC CL A624603116201252118$11,194,836,744603
SHLD · GLOBAL X FDS6116028132214082$4,701,012,555602
CACI · CACI INTL INC CL A61760051197252100$10,306,743,793600
STM · STMICROELECTRONICS N V NY REGISTRY60860025516911046$12,717,174,682600
GBTC · GRAYSCALE BITCOIN TRUST ETF605600319121480$1,265,103,213600
FRT · FEDERAL RLTY INVT TR NEW62160010824416548$10,559,756,060600
TAP · MOLSON COORS BEVERAGE CO CL B6215999124420196$7,314,277,193599
VIGI · Vanguard International Dividend Appreciation ETF6095984324420728$4,532,978,419598
FIVE · FIVE BELOW INC COM61359891195253111$9,952,254,343598
PR · PERMIAN RESOURCES CORP CLASS A COM6195977427118871$14,097,760,403597
DAR · DARLING INGREDIENTS INC COM6155978423820684$9,001,662,395597
INGR · INGREDION INC COM61359667212232122$5,909,699,265596
SCHH · Schwab US REIT ETF5985947322217945$6,385,873,412594
MUSA · MURPHY USA INC COM61159411919119348$8,247,806,071594
RMBS · RAMBUS INC DEL COM62059413019022966$13,291,292,293594
AOS · SMITH A O CORP COM6155947123922993$7,902,655,445594
RRX · REGAL REXNORD CORPORATION61459411721518456$17,023,134,821594
DFAU · DIMENSIONAL ETF TRUST6035934225021619$9,100,067,324593
COKE · COCA COLA CONS INC6135937524218746$7,807,585,665593
VIK · VIKING HOLDINGS LTD61459315525114751$22,233,792,837593
LFUS · LITTELFUSE INC COM61159211817221343$11,488,025,820592
MGV · VANGUARD MORNINGSTAR MEGA CAP VALUE ETF6065926222117833$9,551,997,624592
EWY · ISHARES INC MSCI STH KOR ETF60159219618415572$18,632,547,281592
TKR · TIMKEN CO60859012921216858$9,445,613,905590
AVAV · AEROVIRONMENT INC COM6125899522519599$5,118,200,383589
DFEM · DIMENSIONAL ETF TRUST5975895227521716$7,937,346,415589
REG · REGENCY CTRS CORP COM6125886426817940$14,714,562,385588
LSCC · LATTICE SEMICONDUCTOR CORP COM60858714919918428$21,737,268,280587
AIZ · ASSURANT INC COM6145878922520165$13,039,063,907587
ZION · ZIONS BANCORPORATION6015867325616040$8,429,869,015586
PAYC · PAYCOMSOFTWAREINC601586106188224103$5,209,248,157586
GH · GUARDANT HEALTH INC COM60158615419918043$20,030,901,772586
HUBS · HUBSPOTINC60058590218223173$8,942,619,357585
NNN · NNN REIT INC COM6055859525616334$8,888,938,462585
CCK · CROWN HLDGS INC COM6085846518627690$11,989,983,759584
FDN · FIRST TR EXCHANGE-TRADED FD5905846910820634$2,418,146,309584
SPIB · SPDR SERIES TRUST5925845429515542$9,251,817,653584
MOH · MOLINA HEALTHCARE INC60258414921117575$12,809,537,547584
AVUS · Avantis US Equity ETF5895834626116919$11,729,033,167583
TTC · TORO CO5995838321119863$8,768,780,295583
SIRI · SIRIUSXM HOLDINGS INC59958310320515164$8,331,693,347583
MTCH · MATCH GROUP INC NEW5975829218921270$9,297,514,335582
ING · ING GROEP N.V. SPONSORED ADR5895819322115631$4,261,935,512581
GMED · GLOBUS MED INC CL A6015817325118386$9,427,746,292581
OSK · OSHKOSH CORP COM6005817822019171$9,784,901,017581
OVV · OVINTIV INC59858176245177100$13,476,409,411581
WTFC · WINTRUST FINL CORP COM6005807723317336$10,420,630,854580
BF-B · BROWN FORMAN CORP CL B5975808918721475$5,312,822,343580
ARE · ALEXANDRIA REAL ESTATE EQ INC COM59858010323119472$8,976,823,628580
PRF · INVESCO EXCHANGE TRADED FD T5885805617615729$5,703,897,603580
EHC · ENCOMPASS HEALTH CORP COM6005795922422541$9,629,411,533579
TECH · BIO-TECHNE CORP597578124162244112$12,347,809,749578
KNSL · KINSALECAPGROUPINC5955779317823178$7,108,758,436577
CR · CRANE COMPANY COMMON STOCK6005779721218961$10,082,504,308577
UHS · UNIVERSAL HLTH SVCS INC CL B59857764217244123$7,769,864,796577
DFSV · DIMENSIONAL ETF TRUST5845774528318213$6,259,997,747577
XLG · INVESCO S&P 500 TOP 50 ETF5845766418422248$5,076,449,370576
SF · STIFEL FINL CORP5965765619125992$9,644,621,702576
PAAS · PAN AMERN SILVER CORP5875755920319794$9,720,379,786575
DT · DYNATRACE INC COM NEW5955759821522085$13,255,246,882575
FLS · FLOWSERVE CORP59357589204208122$10,603,326,394575
CPNG · COUPANG INC5905758017524894$23,293,110,586575
POWL · POWELL INDS INC5865721504062041$7,852,396,134572
SDVY · FIRST TR EXCHANGE-TRADED FD5815724930616138$9,094,972,056572
HL · HECLA MNG CO5885729521118776$7,485,018,213572
AAL · AMERICAN AIRLINES GROUP INC COM5825719117818385$9,326,490,734571
VOD · VODAFONE GROUP PLC SPONSORED ADR5785717716716654$2,557,858,967571
PPA · INVESCO EXCHANGE TRADED FD T5795715323215945$4,528,747,049571
SHYG · iShares 0-5 Year High Yield Corporate Bond ETF5765706029114048$5,563,418,281570
VCR · Vanguard Consumer Discretionary ETF5795704815320524$3,010,038,338570
CG · CARLYLE GROUP INC COM5915706422720476$9,266,488,314570
CLF · CLEVELAND-CLIFFS INC NEW COM5855709218319175$4,458,444,705570
JEF · JEFFERIES FINANCIAL GROUP IN5905708319620259$6,834,348,863570
APG · API GROUP CORP COM STK5845686823120863$15,473,553,098568
MUFG · MITSUBISHI UFJ FINANCIAL GROUP SPONSORED ADS5765668223616642$6,737,935,633566
R · RYDER SYS INC COM5795669320817942$9,204,630,545566
SPSB · SPDR SERIES TRUST5785664527916237$8,144,369,209566
CCEP · COCA-COLA EUROPACIFIC PARTNERS SHS5815647119522165$15,412,274,564564
QSR · RESTAURANT BRANDS INTL INC COM5845628423816751$23,455,710,078562
CRUS · CIRRUS LOGIC INC COM5825629023615952$7,830,867,094562
AIRR · FIRST TR EXCHANGE TRADED FD5705628230811017$7,914,393,871562
WTS · WATTS WATER TECHNOLOGIES INC CL A58156111217419052$10,534,840,135561
ACM · AECOM COM57756175184238126$8,341,166,430561
CWB · SPDR SER TR5675617217419639$3,660,799,693561
RBRK · RUBRIK INC.57656118122111971$10,387,410,880561