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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 19:32:35 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
SCHC · SCHWAB STRATEGIC TR5285184819316119$2,372,375,928518
CHE · CHEMED CORP NEW5355189617719054$6,277,667,786518
AM · ANTERO MIDSTREAM CORP COM5345176018818041$6,491,564,843517
SUI · SUN CMNTYS INC COM5345177617520164$14,858,007,867517
PATH · UIPATH INC5305168718517091$3,915,180,159516
PFGC · PERFORMANCE FOOD GROUP CO COM53251510419715341$17,759,357,525515
LKQ · LKQ CORP COM5345156319222080$7,234,360,007515
OZK · BANK OZK LITTLE ROCK ARK COM5305147819417552$5,441,751,350514
JOBY · JOBY AVIATION INC5275148222110880$5,247,199,763514
HXL · HEXCEL CORP NEW53151410016316243$8,585,162,128514
PRI · PRIMERICA INC5285136418518246$8,298,515,101513
LYFT · LYFT INC5295118416318189$6,115,213,604511
OMF · ONEMAIN HLDGS INC COM5265108619917349$6,606,378,738510
MRP · MILLROSE PPTYS INC COM CL A5245109218513751$4,263,897,987510
FNB · F N B CORP5255106320115246$6,270,075,163510
CMC · COMMERCIAL METALS CO COM5265097518217758$6,485,223,116509
ELAN · ELANCO ANIMAL HEALTH INC COM5235097316421171$13,947,412,660509
SMR · NUSCALE PWR CORP CL A COM522509922399771$2,254,929,609509
H · HYATT HOTELS CORP COM CL A5275088214917943$9,223,148,261508
FDVV · Fidelity High Dividend ETF5175076222814830$3,998,864,681507
CRSP · CRISPR THERAPEUTICS AG NAMEN AKT5265067615414347$4,157,280,979506
CHWY · CHEWYINCCLASSCLASSA51950579195158159$7,843,460,522505
IBN · ICICI BANK LIMITED ADR5205055019219079$15,780,873,487505
HLI · HOULIHAN LOKEY INC CL A5205054917820676$7,399,822,394505
STWD · STARWOOD PPTY TR INC COM5215055319816462$3,050,629,663505
CNH · CNH INDL N V SHS5225046519520483$10,106,552,564504
TRU · TRANSUNION COM5235045817621499$16,147,267,753504
IHI · iShares U.S. Medical Devices ETF5085036712018869$1,528,831,186503
UDR · UDR INC COM5225037116620981$13,492,205,382503
LEA · LEAR CORP COM NEW5215037718817037$7,361,927,215503
SAIA · SAIA INC52150310319115637$11,732,116,806503
AGCO · AGCO CORP5195036719716747$7,956,399,759503
DFCF · DIMENSIONAL ETF TRUST512503473259021$8,584,221,618503
SCHR · Schwab Intermediate-Term US Treasury ETF5095024623514649$10,981,255,267502
AFG · AMERICAN FINANCIAL GROUP INC COM5175027819314560$8,073,577,852502
IONS · IONIS PHARMACEUTICALS INC COM5155026220016246$14,261,324,190502
JMUB · J P MORGAN EXCHANGE TRADED F5115024728211429$5,351,512,794502
VICR · VICOR CORP51550218516313142$8,267,016,506502
ARGX · ARGENX SE SPONSORED ADR5095017918116349$26,114,272,440501
CUBE · CUBESMART COM5195018819815757$9,175,879,844501
CHRD · CHORD ENERGY CORPORATION5195018119615960$6,097,390,499501
PLUG · PLUG PWR INC5125018018210945$2,204,858,136501
VOX · Vanguard Communication Services ETF5085003715916431$3,143,687,886500
TECK · TECK RESOURCES LTD CL B5215007817117251$20,763,210,277500
JCPB · J P MORGAN EXCHANGE TRADED F508500623069932$11,945,803,194500
AN · AUTONATION INC COM5144995616319861$4,497,384,425499
VOYA · VOYA FINANCIAL INC COM5144998917016840$8,390,349,703499
CTRE · CARETRUST REIT INC COM5184996621416339$10,126,401,331499
SPXC · SPX TECHNOLOGIES INC5174999217417162$11,578,427,956499
RITM · RITHM CAPITAL CORP COM NEW5134985418218069$3,079,727,244498
EAT · BRINKER INTL INC COM5104988818316448$7,895,331,306498
BKLN · INVESCO EXCH TRADED FD TR II5054985419717353$5,828,872,220498
CBSH · COMMERCE BANCSHARES INC5104988118014650$6,296,080,637498
FORM · FORMFACTOR INC COM51049715414517140$11,392,068,621497
PDD · PDD HOLDINGS INC SPONSORED ADS50949655148237116$32,873,342,458496
MTG · MGIC INVT CORP WIS COM5104965415521757$5,771,599,926496
IDCC · INTERDIGITAL INC COM51249547187201106$7,716,306,073495
AVT · AVNET INC COM50749310018215138$7,884,539,699493
AXSM · AXSOME THERAPEUTICS INC. COM50649313016115940$9,343,368,667493
FOX · FOX CORP5124934818420769$6,592,015,896493
SON · SONOCO PRODS CO5094936019716451$5,494,903,667493
WULF · TERAWULF INC50249311918014168$9,822,227,133493
FNDE · Schwab Fundamental Emerging Markets Equity ETF5004925320613932$7,522,250,866492
DB · DEUTSCHE BK AG NAMEN AKT5084928216916652$23,711,227,839492
POR · PORTLAND GEN ELEC CO5084925021315250$6,445,090,781492
FDL · FIRST TR EXCHANGE-TRADED FD4984913621515837$4,429,981,638491
HIMS · HIMS & HERS HEALTH INC50749113617913265$5,390,761,791491
RSPT · INVESCO EXCHANGE TRADED FD T50149110811614918$2,671,766,699491
CROX · CROCS INC COM50249010113119161$5,807,487,967490
FCFS · FIRSTCASH HOLDINGS INC5044907217317240$9,191,378,020490
JXN · JACKSON FINANCIAL INC COM CL A5064894718319651$6,464,790,156489
GPK · GRAPHIC PACKAGING HLDG CO COM50348810820913450$3,727,611,791488
MANH · MANHATTAN ASSOCIATES INC COM5074885917720783$8,885,551,609488
THRO · BLACKROCK ETF TRUST496488548632632$6,621,055,766488
SUNB · SUNBELT RENTALS HOLDINGS INC SHS49848714116613953$25,316,731,123487
BIDU · BAIDU INC SPON ADR REP A4964876715914782$6,805,212,478487
CART · MAPLEBEAR INC COM5014878915018259$9,161,499,828487
ARWR · ARROWHEAD PHARMACEUTICALS IN50248712115315858$9,733,416,205487
VUSB · Vanguard Ultra-Short Bond ETF4904864622014029$4,438,770,658486
IYR · ISHARES TR4894866013315535$5,230,092,472486
ROIV · ROIVANT SCIENCES LTD5004849620214341$19,707,870,251484
HQY · HEALTHEQUITY INC COM5014847221115856$8,096,398,937484
SM · SM ENERGY COMPANY COM4994846920515581$6,009,773,540484
WAL · WESTERN ALLIANCE BANCORP COM4994849818613352$8,058,533,713484
ESI · ELEMENT SOLUTIONS INC COM5024829117517639$12,090,367,191482
SLF · SUN LIFE FINANCIAL INC. COM4954827117713326$19,979,902,302482
FNDA · SCHWAB STRATEGIC TR4884824318914327$7,067,634,767482
VNOM · VIPER ENERGY INC4964815819815351$8,395,632,279481
MHK · MOHAWK INDS INC4924819117515968$6,543,628,555481
SPTL · SPDR Portfolio Long Term Treasury ETF4844805123014847$9,586,204,002480
ADC · AGREE RLTY CORP COM4974804319816149$10,797,719,140480
ALK · ALASKA AIR GROUP INC COM49147910515014971$5,341,571,173479
MTDR · MATADOR RES CO COM4944797419415076$6,027,181,648479
XMMO · Invesco S&P MidCap Momentum ETF4844787223710322$5,228,570,351478
S · SENTINELONE INC4884788818114060$4,860,066,528478
WYNN · WYNN RESORTS LTD4984785515119570$7,235,054,618478
VSGX · Vanguard ESG International Stock ETF4824776119513219$2,029,960,920477
GRAB · GRABHLDGSLTDFCLASSCLASSA4884775916917273$11,664,583,857477
MICC · MAGNUM ICE CREAM CO NV ORD SHS485477627920174$4,653,699,396477
ONON · ON HLDG AG NAMEN AKT A4934778715316993$7,424,839,866477