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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 21:51:24 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
YETI · YETI HLDGS INC COM4624478113917053$4,195,637,111447
IEUR · ISHARES TR4514473414817236$6,547,218,796447
VOOV · VANGUARD ADMIRAL FDS INC4564473813914718$2,776,359,023447
CGGO · CAPITAL GROUP GBL GROWTH EQT4544475722510419$9,190,649,434447
VNT · VONTIER CORPORATION4584475211919186$4,299,897,486447
AVTR · AVANTOR INC COM4604469419011166$6,928,703,730446
MSA · MSA SAFETY INC COM4594465018414843$6,125,135,029446
QTEC · FIRST TR EXCHANGE-TRADED FD451446989914414$3,296,784,385446
ONB · OLD NATL BANCORP IND4574465816513041$8,488,280,801446
CALM · CAL MAINE FOODS INC COM NEW4574456518014574$3,588,681,392445
HR · HEALTHCARE RLTY TR CL A COM4634455716714641$7,620,443,123445
W · WAYFAIR INC4584458615914482$11,214,858,899445
MUNI · PIMCO ETF TR4504443124011416$2,427,459,585444
SPYI · NEOS ETF TRUST450444842567124$1,766,286,759444
AUR · AURORA INNOVATION INC CLASS A COM4594438318810044$11,550,498,781443
DBX · DROPBOX INC CL A4554437613818150$4,953,125,996443
RYN · RAYONIER INC COM4584437315514365$5,960,272,766443
PDBC · INVESCO ACTVELY MNGD ETC FD4474437214114971$4,150,544,075443
CEF · SPROTT ASSET MANAGEMENT LP4464433410912044$2,248,007,407443
BOOT · BOOT BARN HLDGS INC4584437118114762$5,703,824,691443
CNM · CORE & MAIN INC CL A4554425816218079$9,657,621,963442
NJR · NEW JERSEY RES CORP4604426118412642$4,522,734,036442
HEFA · iShares Currency Hedged MSCI EAFE ETF4544414812317227$6,294,818,175441
DFSD · DIMENSIONAL ETF TRUST449441342769618$5,867,278,519441
PB · PROSPERITY BANCSHARES INC4574417118713250$6,475,897,516441
UBSI · UNITED BANKSHARES INC WEST VA COM4514406215712531$4,725,151,740440
ADT · ADT INC DEL COM4564407921112873$4,657,703,985440
FLO · FLOWERS FOODS INC COM4544409618711071$1,743,800,137440
QS · QUANTUMSCAPE CORP COM CL A452440701819258$1,590,072,335440
DBEF · DBX ETF TR4464402915713923$6,662,350,128440
MGA · MAGNA INTL INC COM4524396114616951$12,495,423,125439
DOX · AMDOCS LTD4484395718715786$5,279,665,753439
RIOT · RIOT PLATFORMS INC45143910414813259$8,653,394,583439
ONEQ · FIDELITY COMWLTH TR4444387112313324$2,096,556,395438
MIDD · MIDDLEBYCORP4524388311617553$8,112,842,597438
AUB · ATLANTIC UN BANKSHARES CORP COM4534384716514327$5,235,086,817438
TSEM · TOWER SEMICONDUCTOR LTD SHS NEW45343812611216553$17,071,529,151438
TDIV · FIRST TR EXCHANGE TRADED FD4444386213515922$2,728,636,090438
YOU · CLEAR SECURE INC4534387818712546$5,445,730,268438
RHI · ROBERT HALF INC. COM4474378617912158$3,855,257,088437
LOPE · GRAND CANYON ED INC COM4494375515018381$3,835,096,394437
PRIM · PRIMORIS SVCS CORP COM451437111128163169$5,437,349,019437
AROC · ARCHROCK INC4524378316912964$7,174,436,775437
FSK · FS KKR CAP CORP4404374912718585$1,148,820,350437
PEN · PENUMBRA INC COM4514363714618469$10,782,280,353436
VVV · VALVOLINE INC COM4534366616114534$5,898,289,720436
AKRE · PROFESIONALLY MANAGED PORTFO443436335621750$2,060,862,472436
OLLI · OLLIES BARGAIN OUTLET HLDGS4554366415317589$5,460,732,966436
SOUN · SOUNDHOUND AI INC CLASS A COM4464357214712282$1,101,202,611435
ESE · ESCO TECHNOLOGIES INC4494356313917748$9,045,191,829435
USRT · ISHARES TR4434355817913024$3,289,366,694435
IBDT · iShares iBonds Dec. 2028 Corporate Bond ETF436435372379823$2,983,198,586435
CGUS · CAPITAL GROUP CORE EQUITY ET4424355122911218$8,122,976,436435
GVA · GRANITE CONSTR INC COM4484348215215638$7,742,119,180434
RELX · RELX PLC SPONSORED ADR4394345715416066$2,704,462,666434
ACI · ALBERTSONS COMPANIES INC COMMON STOCK4474337614916971$6,263,481,483433
OLED · UNIVERSAL DISPLAY CORP4424335316616371$3,800,084,785433
PLXS · PLEXUS CORP COM44743210014213736$7,974,264,196432
PECO · PHILLIPS EDISON & CO INC COMMON STOCK4474324817313440$4,778,560,600432
CRBG · COREBRIDGE FINL INC COM4484326815617350$13,940,212,487432
BLD · TOPBUILD COR COM44543287102181187$9,753,867,249432
IGF · ISHARES TR438431631929640$8,054,475,031431
GFS · GLOBALFOUNDRIES INC4444311381619446$44,979,248,930431
ACLS · AXCELIS TECHNOLOGIES INC44343011111714646$5,854,329,967430
BMNR · BITMINE IMMERSION TECHS INC4394301011659389$3,341,658,257430
REZI · RESIDEO TECHNOLOGIES INC COM4384295312813666$4,648,504,390429
HOG · HARLEY DAVIDSON INC COM4414298512612349$2,662,706,563429
LAD · LITHIA MTRS INC COM4454297114216465$7,127,645,656429
EXLS · EXLSERVICE HLDGS INC COM4454285914419378$4,015,014,187428
TMHC · TAYLOR MORRISON HOME CORP COM44342888111173100$6,346,090,191428
ERIE · ERIE INDTY CO CL A4414287819011542$5,009,125,900428
OBDC · BLUE OWL CAPITAL CORPORATION COM4314284215015068$2,906,157,095428
MDU · MDU RES GROUP INC4384286115712547$4,119,057,236428
BLCR · BLACKROCK ETF TRUST4344281402503412$6,594,678,159428
EPAM · EPAM SYS INC COM44142772154164163$4,516,112,617427
UCTT · ULTRA CLEAN HLDGS INC COM4384271419616332$6,501,982,892427
DXC · DXC TECHNOLOGY CO COM4364267213911478$1,581,533,442426
QYLD · GLOBAL X FDS4314263220012739$1,925,982,251426
PTEN · PATTERSON-UTI ENERGY INC4394268017611356$3,935,225,888426
COMP · COMPASS INC4374268016012261$8,724,336,366426
IFRA · iShares U.S. Infrastructure ETF4314255116911823$2,394,147,631425
VGNT · VERSIGENT PLC ORDINARY SHARES4404254091578$2,908,566,573425
ZWS · ZURN ELKAY WATER SOLNS CORP COM4374255817414541$7,471,191,965425
MTN · VAIL RESORTS INC COM4424256715714468$6,319,042,286425
PBF · PBF ENERGY INC4404257618612151$4,772,753,422425
TFLO · iShares Treasury Floating Rate Bond ETF4264244913919941$3,527,055,178424
INFY · INFOSYS LTD SPONSORED ADR4354245716016470$5,742,236,663424
GBCI · GLACIER BANCORP INC NEW4364244515613524$5,805,099,421424
XMHQ · INVESCO EXCHANGE TRADED FD T4324243216716526$3,571,976,874424
IBDR · iShares iBonds Dec 2026 Term Corporate ETF4254233114616943$2,184,651,371423
SAIC · SCIENCE APPLICATIONS INTL CORP COM4354235914715048$3,991,607,633423
ORA · ORMAT TECHNOLOGIES INC4364236817511453$5,891,539,894423
VKTX · VIKING THERAPEUTICS INC4384237014313450$2,955,044,307423
PEGA · PEGASYSTEMS INC COM43742262175157112$2,853,620,886422
VSXY · VICTORIAS SECRET AND CO COMMON STOCK43642210212314154$7,093,363,117422
QLYS · QUALYS INC COM4364228616014472$5,057,332,113422
NWG · NATWEST GROUP PLC SPONS ADR4274225618313040$3,498,232,405422
FENI · Fidelity Enhanced International ETF428421652477422$7,483,207,114421
VAW · Vanguard Materials ETF4284214012713228$1,288,906,478421
MUR · MURPHY OIL CORP COM4354215015814465$4,120,421,909421