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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 2026-10-09 23:23:37 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
RSP · INVESCO EXCHANGE-TRADED FD TR S&P 500 EQUAL WEIGHT ETF2,3192,2921961,002766110$64,499,337,3502,292
APH · AMPHENOL CORP NEW2,3422,286352984785141$205,096,257,7822,286
LIN · Linde plc2,3292,2741871,008780120$204,432,996,0772,274
SCHW · Charles Schwab Corp2,3212,268148907964160$133,796,563,0692,268
BLK · BlackRock,Inc.2,3082,251131926891127$115,575,517,8032,251
EMR · EMERSON ELEC CO COM2,2982,24816788580489$65,623,602,1702,248
EFA · ISHARES TR2,2712,24412882777474$61,909,456,1952,244
ADI · Analog Devices,Inc.2,2932,242283874828120$175,303,939,2702,242
ADP · Automatic Data Processing,Inc.2,2952,240174883885160$79,299,746,8222,240
GILD · Gilead Sciences,Inc.2,2922,237127955859166$140,544,526,8562,237
SYK · Stryker Corporation2,2682,217141934861183$97,234,650,6732,217
ISRG · Intuitive Surgical,Inc.2,2602,203151903889213$121,949,048,2232,203
MMM · 3M CO COM2,2472,199170726860101$62,631,962,5542,199
ANET · ARISTA NETWORKS INC2,2542,190346954737121$152,378,756,3192,190
NOW · ServiceNow,Inc.2,2452,182300962801269$83,727,435,1562,182
VGT · VGT2,2042,1812781,8592173$47,152,049,8202,181
GD · GENERAL DYNAMICS CORP COM2,2192,172125867842126$82,826,282,0962,172
MRVL · MARVELL TECHNOLOGY INC2,2252,169772633649113$205,981,931,0032,169
SCHD · SCHD2,1502,1261621,07964078$26,177,038,1982,126
CB · Chubb Limited2,1672,11315884980699$118,972,275,7752,113
IVW · iShares S&P 500 Growth ETF2,1392,11315869479771$54,951,414,5382,113
BX · BLACKSTONE INC2,1582,110155963734131$63,362,910,9902,110
UPS · United Parcel Service,Inc. Class B2,1482,104170898819135$57,311,479,7672,104
MDT · Medtronic Plc2,1402,093149848926247$86,704,486,6192,093
DELL · DELL TECHNOLOGIES INC CL C2,1412,092602585754110$101,544,436,8632,092
COF · CAPITAL ONE FINL CORP2,1312,085203822778151$107,711,347,3822,085
AGG · iShares Core US Aggregate Bond ETF2,0982,0661161,029687105$122,602,025,1182,066
PSX · PHILLIPS 66 COM2,1082,062136808737162$53,539,264,1852,062
DHR · Danaher Corporation2,1192,0611336771,030193$110,071,305,6922,061
CMI · CUMMINS INC COM2,1102,061254776734114$83,824,628,9122,061
VYM · Vanguard High Dividend Yield ETF2,0712,04612384469674$28,517,580,1072,046
XLE · Energy Select Sector SPDR Fund2,0512,025136782853215$23,499,967,8512,025
HONA · HONEYWELL AEROSPACE INC COM2,0752,0232,050001$54,347,110,7512,023
USB · USBANCORPDEL2,0702,02118075977096$76,831,571,0742,021
CVS · CVS Health Corporation2,0742,020298781736108$117,505,000,3012,020
VRT · VERTIV HOLDINGS CO COM CL A2,0612,006327828704109$105,039,830,0552,006
HON · HONEYWELL INTL INC COM2,0491,9962,016061$58,555,151,0321,996
PNC · PNC FINL SVCS GROUP INC COM2,0411,99320981467198$82,237,863,3271,993
SPGI · S&P Global,Inc.2,0281,973154702895249$105,362,521,0641,973
CL · COLGATE PALMOLIVE CO COM2,0291,973168731734103$61,482,466,0241,973
MCK · MCKESSON CORP COM2,0211,972142709807181$79,759,509,2771,972
ADBE · Adobe Inc2,0041,962148660956338$68,213,878,4241,962
IWD · ISHARES RUSSELL 1000 VALUE ETF1,9821,95814458570069$64,402,473,5081,958
CSX · CSX Corporation1,9991,95121675463796$69,900,136,1961,951
AEP · AMERICAN ELEC PWR CO INC COM1,9881,94214488859299$68,560,745,9021,942
ITW · ILLINOIS TOOL WKS INC1,9781,93313069276298$65,833,084,8001,933
PH · PARKER-HANNIFIN CORP COM1,9861,929159752703111$108,315,149,5441,929
VLO · VALERO ENERGY CORP COM1,9821,928213715724105$64,072,071,1641,928
FDX · FEDEX CORP COM1,9681,922117764711194$59,848,004,4351,922
STX · SEAGATE TECHNOLOGY HLDNGS1,9591,91755762460268$180,501,815,3111,917
MPC · MARATHON PETE CORP COM1,9531,90915268571894$55,997,843,8711,909
PWR · QUANTA SVCS INC1,9441,89928667471898$95,705,840,3101,899
IAU · iShares Gold Trust1,9051,88392710634162$29,058,848,7101,883
XLF · Financial Select Sector SPDR Fund1,9031,873151688709102$39,575,184,2141,873
BKNG · Booking Holdings Inc.1,9301,8721711,69834158$135,427,173,0521,872
TGT · TARGET CORP COM1,9011,863185729685141$51,458,656,6461,863
ACN · Accenture Plc Class A1,9111,860157775799402$61,077,380,8881,860
CMCSA · Comcast Corp1,9011,852135677880289$77,079,535,2181,852
MDLZ · Mondelez International,Inc. Class A1,9051,851123706767120$64,364,011,9041,851
FCX · FREEPORT MCMORAN INC CL B1,9001,846177847611130$78,185,288,6001,846
XLV · Health Care Select Sector SPDR Fund1,8681,841167684694119$29,623,180,4031,841
BNY · BANK OF NY MELLON CORP COM1,8861,83420566970890$83,126,809,4331,834
VXUS · VANGUARD STAR FDS1,8501,83018388547162$37,551,331,7951,830
NSC · NORFOLK SOUTHN CORP COM1,8701,82711661164385$53,635,086,3081,827
TRV · TRAVELERS COMPANIES INC COM1,8641,821172685628105$60,985,442,0791,821
CEG · CONSTELLATION ENERGY CORP COM1,8681,820169829594208$71,415,553,1171,820
BND · Vanguard Total Bond Market ETF1,8341,81012890456787$92,583,608,0291,810
KMI · KINDER MORGAN INC DEL COM1,8401,799115769667118$49,502,185,0321,799
WDC · WESTERN DIGITAL CORP1,8501,79551459660491$206,277,591,0781,795
VNQ · Vanguard Real Estate1,8121,79112176362392$21,990,989,5871,791
WMB · WILLIAMS COS INC COM1,8371,786138727665119$81,608,199,5711,786
PGR · Progressive Corporation1,8301,783179690711128$111,057,756,3871,783
SNDK · SanDisk Corporation1,8271,78172752846692$247,997,891,1791,781
TT · TRANE TECHNOLOGIES PLC SHS1,8261,77716471359191$94,096,435,0721,777
NOC · NORTHROP GRUMMAN CORP COM1,8181,771127695644204$60,412,383,5311,771
VBR · Vanguard Small-Cap Value ETF1,7711,75510865066457$20,834,767,3411,755
IVE · iShares S&P 500 Value ETF1,7701,74712149974971$39,086,171,4571,747
NEM · NEWMONT CORP1,7901,744137686726187$76,887,224,0201,744
APD · AIR PRODS & CHEMS INC1,7791,733116605739129$60,062,877,2151,733
SPCX · SPACE EXPLORATION TECHN CORP CLASS A COM STK1,7591,7251,722000$628,139,340,3621,725
ALL · ALLSTATE CORP COM1,7571,716170674538110$50,642,119,1401,716
AMT · American Tower Corporation1,7571,711157688673153$72,024,549,6741,711
INTU · Intuit Inc.1,7571,710172610806430$63,601,213,1521,710
VRTX · Vertex Pharmaceuticals Incorporated1,7641,710172707623110$119,742,936,6551,710
MAR · MARRIOTT INTL INC NEW CL A1,7551,70918264955683$59,936,269,6821,709
SPYM · SPDR SER TR STATE STR SPDR PORT S&P 500 ETF1,7321,70817689146252$115,202,608,4741,708
F · FORD MTR CO COM1,7451,708160720621133$36,275,370,9691,708
ITOT · iShares Core S&P Total U.S. Stock Market ETF1,7201,70014860257953$60,846,108,5921,700
NKE · NIKE,Inc. Class B1,7421,700129647764311$39,531,825,7791,700
SHW · SHERWIN WILLIAMS CO1,7471,695159568729116$69,296,092,8561,695
PLD · Prologis,Inc.1,7401,68614380755083$119,613,173,3301,686
KMB · KIMBERLY-CLARK CORP COM1,7191,681179632628119$35,386,816,3311,681
SHOP · SHOPIFY INC1,7181,672139635665159$94,605,149,7511,672
AFL · AFLAC INC COM1,7021,66513358658695$40,321,948,2011,665
TFC · TRUIST FINL CORP COM1,7071,66515263266997$46,705,715,6821,665
ECL · ECOLAB INC COM1,7171,664124616692116$62,759,655,3001,664
CME · CME Group Inc. Class A1,7131,661147661675235$71,152,965,5551,661
SLB · Schlumberger Limited1,7051,659148607676149$62,302,427,0251,659
SCHG · Schwab U.S. Large-Cap Growth ETF1,6771,65612374555176$32,367,030,8711,656
CI · Cigna Corporation1,7001,654138676581101$65,438,290,5191,654