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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 19:11:02 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
DUOL · DUOLINGO INC CL A COM43542111614412557$4,578,063,539421
FTSM · FIRST TR EXCHANGE-TRADED FD4264214117616138$4,998,784,843421
ELF · ELFBEAUTYINC4344206814316090$3,822,628,376420
PBA · PEMBINA PIPELINE CORP COM4354203915014939$14,615,247,214420
MXL · MAXLINEAR INC4364202289110330$9,467,639,633420
AOA · iShares Core Aggressive Allocation ETF4234193519411921$751,052,495419
SEI · SOLARIS ENERGY INFRAS INC COM CL A43341911215912339$5,708,491,312419
MATX · MATSON INC COM4314196713713436$4,996,469,284419
NIO · NIO INC SPON ADS4234194810713663$1,384,015,721419
IMCG · ISHARES MORNINGSTAR MID-CAP GROWTH ETF4234194814313622$2,767,726,111419
PAA · PLAINS ALL AMERN PIPELINE L4224193912510630$6,437,156,969419
BAP · CREDICORP LTD4294195014418243$22,361,150,612419
DXJ · WISDOMTREE TR4224195214910626$3,347,367,143419
KTB · KONTOOR BRANDS INC4334197413814048$4,954,667,751419
HYMB · SPDR SERIES TRUST4244194317112723$2,250,822,872419
JD · JD.COM INC SPON ADS CL A4264187513513561$5,024,999,468418
RHP · RYMAN HOSPITALITY PPTYS INC COM4334178114614036$8,132,641,013417
WFRD · WEATHERFORD INTL PLC ORD SHS4284175515814564$6,204,706,763417
VNO · VORNADO RLTY TR4364177515212940$7,294,588,978417
HUT · HUT 8 CORP42741714111513549$11,107,622,644417
TIGO · MILLICOM INTL CELLULAR S A43841711916113052$7,031,416,432417
BTSG · BRIGHTSPRING HEALTH SVCS4254161221848638$14,391,857,410416
NWL · NEWELL BRANDS INC COM4284166716512966$2,745,034,724416
MDYG · SPDR SER TR4254164712816020$2,089,091,936416
IBP · INSTALLED BLDG PRODS INC4304167015515191$5,998,373,565416
IBDS · iShares iBonds Dec. 2027 Corporate Bond ETF4184163120611440$2,581,761,533416
OGS · ONE GAS INC COM4314155418111049$4,510,528,191415
TGTX · TG THERAPEUTICS INC COM43241510214712335$6,097,359,259415
GTLS · CHART INDS INC4314154012118569$10,465,172,149415
BEPC · BROOKFIELD RENEWABLE CORP4294155616013846$4,076,961,506415
RLI · RLI CORP COM4244146616013566$5,177,213,973414
SKYY · FIRST TR EXCHANGE TRADED FD420414437517033$1,150,863,647414
ENVA · ENOVA INTL INC4274147516013837$5,668,384,076414
ICLR · ICON PUB LTD CO SHS4244138214713878$13,861,936,589413
CVLT · COMMVAULT SYS INC COM43141310715412062$6,312,225,974413
PLNT · PLANET FITNESS MASTER ISSUER L CL A4254129414214898$4,488,794,724412
ACA · ARCOSA INC COM4294129712611842$6,541,864,982412
MWA · MUELLER WTR PRODS INC COM SER A4284125016214948$3,864,732,180412
REXR · REXFORD INDL RLTY INC COM4254115213417261$7,904,944,911411
ALKS · ALKERMES PLC4244118614113751$9,319,728,203411
VBIL · Vanguard 0-3 Month Treasury Bill4124109616411931$4,346,272,764410
CBRS · CEREBRAS SYSTEMS INC COM CL A418410413000$19,602,057,624410
KRYS · KRYSTAL BIOTECH INC COM4234108717810936$11,076,818,513410
SPTS · SPDR SER TR4144103116414940$4,879,797,037410
CWST · CASELLA WASTE SYS INC4194106016812951$7,486,006,050410
CORT · CORCEPT THERAPEUTICS INC42441012514611153$7,152,412,188410
LPX · LOUISIANA PAC CORP COM4204095716211852$5,769,767,295409
EQNR · EQUINOR ASA SPONSORED ADR4134096916211473$5,351,346,417409
WING · WINGSTOP INC COM4254099811516577$5,832,284,385409
SPHR · SPHERE ENTERTAINMENT CO CL A4214099312913952$6,380,072,505409
BFH · BREAD FINANCIAL HOLDINGS INC4214097312315841$4,296,147,511409
MORN · MORNINGSTAR INC COM4204086313117391$3,786,185,936408
BCPC · BALCHEM CORP4184084414116447$4,886,502,554408
BYD · BOYDGAMINGCORP4224074413417835$4,810,497,298407
ZETA · ZETA GLOBAL HOLDINGS CORP CL A4184077116812254$3,696,032,726407
NEU · NEWMARKET CORP COM4244078512914045$4,752,921,083407
BLV · VANGUARD BD INDEX FDS4124073917812439$3,687,699,291407
SPTI · SPDR SERIES TRUST4124074819512038$8,652,275,830407
SYM · SYMBOTIC INC420407831728879$5,212,509,050407
CENX · CENTURY ALUM CO4164078717311159$4,789,271,167407
ONDS · ONDAS HLDGS INC4184061291708080$2,296,772,041406
JHG · JANUS HENDERSON GROUP PLC ORD SHS42240642141170104$7,214,736,825406
PGX · INVESCO EXCH TRADED FD TR II4134064711514151$2,296,077,975406
URBN · URBAN OUTFITTERS INC4204066014315155$4,453,674,764406
IESC · IES HOLDINGS INC41440510012114535$14,183,727,987405
DIVO · AMPLIFY ETF TR4094054421810519$3,962,565,699405
PIPR · PIPER SANDLER COMPANIES4184058314911343$4,433,439,412405
POST · POST HLDGS INC4154056010918074$4,000,989,515405
LRN · STRIDE INC4144045215413961$4,026,755,521404
AVA · AVISTA CORP COM4204044917311535$3,054,329,626404
MDGL · MADRIGAL PHARMACEUTICALS INC COM4164047614613141$12,660,269,947404
ANF · ABERCROMBIE & FITCH CO CL A4164045815614053$4,296,576,682404
PJT · PJT PARTNERS INC4184046315010248$3,430,113,284404
WEX · WEX INC4164046311816880$5,613,672,849404
ARTY · iShares Future AI & Tech ETF404403971367923$1,582,752,432403
FMC · FMC CORP COM NEW4144036212515685$1,474,209,850403
IMO · IMPERIAL OIL LTD COM NEW4144036611614156$14,508,639,007403
VIOO · VANGUARD S&P SMALL-CAP 600 ETF4084034510912418$1,985,787,097403
RYAAY · RYANAIR HOLDINGS PLC SPONSORED ADR4124035813015179$13,459,320,653403
MARA · MARA HOLDINGS INC COM4154038315011458$3,924,662,353403
BRKR · BRUKER CORP41840311412912542$8,517,126,917403
LGND · LIGAND PHARMACEUTICALS INC4174039415111434$7,146,441,518403
VONE · VANGUARD SCOTTSDALE FDS4114024612211919$4,769,435,065402
Z · ZILLOW GROUP INC CL C CAP STK41640262133166137$5,363,345,694402
HACK · AMPLIFY ETF TR4104027010410721$760,403,262402
CORO · BLACKROCK ETF TRUST408402194185215$7,679,757,293402
COLD · AMERICOLD REALTY TRUST INC COM4124016714714154$4,896,987,238401
CLSK · CLEANSPARK INC4124019512611641$3,389,991,688401
NEAR · ISHARES U S ETF TR4064014717612629$3,048,731,815401
OLN · OLIN CORP4164016314212673$2,256,667,381401
MGY · MAGNOLIA OIL & GAS CORP4114015416114247$5,281,927,725401
ITRI · ITRON INC COM4144005313815374$4,439,205,455400
ICVT · ISHARES TR4054005911019661$2,035,257,679400
EWZ · ISHARES INC MSCI BRAZIL ETF4034007114811686$6,262,370,790400
CORZ · CORE SCIENTIFIC INC NEW4134008614012764$9,347,581,195400
XOM · EXXON MOBIL CORP403400391130$7,166,390,325400
BSCR · INVESCO BULLETSHARES 2027 CORPORATE BOND ETF4054003118612524$3,651,450,921400
FROG · JFROG LTD ORD SHS41439913711811648$10,344,182,990399
KGS · KODIAK GAS SVCS INC4093991091688732$7,878,095,476399
SWX · SOUTHWEST GAS HLDGS INC COM4113985016811739$5,983,123,135398