Most held stocks
2026Q2 across all 13F filers. Method and universe.
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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.
| Security | Filers | Managers | New | Added | Reduced | Exited | Reported share value | Score |
|---|---|---|---|---|---|---|---|---|
| RSP · INVESCO EXCHANGE-TRADED FD TR S&P 500 EQUAL WEIGHT ETF | 2,319 | 2,292 | 196 | 1,002 | 766 | 110 | $64,499,337,350 | 2,292 |
| APH · AMPHENOL CORP NEW | 2,342 | 2,286 | 352 | 984 | 785 | 141 | $205,096,257,782 | 2,286 |
| LIN · Linde plc | 2,329 | 2,274 | 187 | 1,008 | 780 | 120 | $204,432,996,077 | 2,274 |
| SCHW · Charles Schwab Corp | 2,321 | 2,268 | 148 | 907 | 964 | 160 | $133,796,563,069 | 2,268 |
| BLK · BlackRock,Inc. | 2,308 | 2,251 | 131 | 926 | 891 | 127 | $115,575,517,803 | 2,251 |
| EMR · EMERSON ELEC CO COM | 2,298 | 2,248 | 167 | 885 | 804 | 89 | $65,623,602,170 | 2,248 |
| EFA · ISHARES TR | 2,271 | 2,244 | 128 | 827 | 774 | 74 | $61,909,456,195 | 2,244 |
| ADI · Analog Devices,Inc. | 2,293 | 2,242 | 283 | 874 | 828 | 120 | $175,303,939,270 | 2,242 |
| ADP · Automatic Data Processing,Inc. | 2,295 | 2,240 | 174 | 883 | 885 | 160 | $79,299,746,822 | 2,240 |
| GILD · Gilead Sciences,Inc. | 2,292 | 2,237 | 127 | 955 | 859 | 166 | $140,544,526,856 | 2,237 |
| SYK · Stryker Corporation | 2,268 | 2,217 | 141 | 934 | 861 | 183 | $97,234,650,673 | 2,217 |
| ISRG · Intuitive Surgical,Inc. | 2,260 | 2,203 | 151 | 903 | 889 | 213 | $121,949,048,223 | 2,203 |
| MMM · 3M CO COM | 2,247 | 2,199 | 170 | 726 | 860 | 101 | $62,631,962,554 | 2,199 |
| ANET · ARISTA NETWORKS INC | 2,254 | 2,190 | 346 | 954 | 737 | 121 | $152,378,756,319 | 2,190 |
| NOW · ServiceNow,Inc. | 2,245 | 2,182 | 300 | 962 | 801 | 269 | $83,727,435,156 | 2,182 |
| VGT · VGT | 2,204 | 2,181 | 278 | 1,859 | 21 | 73 | $47,152,049,820 | 2,181 |
| GD · GENERAL DYNAMICS CORP COM | 2,219 | 2,172 | 125 | 867 | 842 | 126 | $82,826,282,096 | 2,172 |
| MRVL · MARVELL TECHNOLOGY INC | 2,225 | 2,169 | 772 | 633 | 649 | 113 | $205,981,931,003 | 2,169 |
| SCHD · SCHD | 2,150 | 2,126 | 162 | 1,079 | 640 | 78 | $26,177,038,198 | 2,126 |
| CB · Chubb Limited | 2,167 | 2,113 | 158 | 849 | 806 | 99 | $118,972,275,775 | 2,113 |
| IVW · iShares S&P 500 Growth ETF | 2,139 | 2,113 | 158 | 694 | 797 | 71 | $54,951,414,538 | 2,113 |
| BX · BLACKSTONE INC | 2,158 | 2,110 | 155 | 963 | 734 | 131 | $63,362,910,990 | 2,110 |
| UPS · United Parcel Service,Inc. Class B | 2,148 | 2,104 | 170 | 898 | 819 | 135 | $57,311,479,767 | 2,104 |
| MDT · Medtronic Plc | 2,140 | 2,093 | 149 | 848 | 926 | 247 | $86,704,486,619 | 2,093 |
| DELL · DELL TECHNOLOGIES INC CL C | 2,141 | 2,092 | 602 | 585 | 754 | 110 | $101,544,436,863 | 2,092 |
| COF · CAPITAL ONE FINL CORP | 2,131 | 2,085 | 203 | 822 | 778 | 151 | $107,711,347,382 | 2,085 |
| AGG · iShares Core US Aggregate Bond ETF | 2,098 | 2,066 | 116 | 1,029 | 687 | 105 | $122,602,025,118 | 2,066 |
| PSX · PHILLIPS 66 COM | 2,108 | 2,062 | 136 | 808 | 737 | 162 | $53,539,264,185 | 2,062 |
| DHR · Danaher Corporation | 2,119 | 2,061 | 133 | 677 | 1,030 | 193 | $110,071,305,692 | 2,061 |
| CMI · CUMMINS INC COM | 2,110 | 2,061 | 254 | 776 | 734 | 114 | $83,824,628,912 | 2,061 |
| VYM · Vanguard High Dividend Yield ETF | 2,071 | 2,046 | 123 | 844 | 696 | 74 | $28,517,580,107 | 2,046 |
| XLE · Energy Select Sector SPDR Fund | 2,051 | 2,025 | 136 | 782 | 853 | 215 | $23,499,967,851 | 2,025 |
| HONA · HONEYWELL AEROSPACE INC COM | 2,075 | 2,023 | 2,050 | 0 | 0 | 1 | $54,347,110,751 | 2,023 |
| USB · USBANCORPDEL | 2,070 | 2,021 | 180 | 759 | 770 | 96 | $76,831,571,074 | 2,021 |
| CVS · CVS Health Corporation | 2,074 | 2,020 | 298 | 781 | 736 | 108 | $117,505,000,301 | 2,020 |
| VRT · VERTIV HOLDINGS CO COM CL A | 2,061 | 2,006 | 327 | 828 | 704 | 109 | $105,039,830,055 | 2,006 |
| HON · HONEYWELL INTL INC COM | 2,049 | 1,996 | 2,016 | 0 | 6 | 1 | $58,555,151,032 | 1,996 |
| PNC · PNC FINL SVCS GROUP INC COM | 2,041 | 1,993 | 209 | 814 | 671 | 98 | $82,237,863,327 | 1,993 |
| SPGI · S&P Global,Inc. | 2,028 | 1,973 | 154 | 702 | 895 | 249 | $105,362,521,064 | 1,973 |
| CL · COLGATE PALMOLIVE CO COM | 2,029 | 1,973 | 168 | 731 | 734 | 103 | $61,482,466,024 | 1,973 |
| MCK · MCKESSON CORP COM | 2,021 | 1,972 | 142 | 709 | 807 | 181 | $79,759,509,277 | 1,972 |
| ADBE · Adobe Inc | 2,004 | 1,962 | 148 | 660 | 956 | 338 | $68,213,878,424 | 1,962 |
| IWD · ISHARES RUSSELL 1000 VALUE ETF | 1,982 | 1,958 | 144 | 585 | 700 | 69 | $64,402,473,508 | 1,958 |
| CSX · CSX Corporation | 1,999 | 1,951 | 216 | 754 | 637 | 96 | $69,900,136,196 | 1,951 |
| AEP · AMERICAN ELEC PWR CO INC COM | 1,988 | 1,942 | 144 | 888 | 592 | 99 | $68,560,745,902 | 1,942 |
| ITW · ILLINOIS TOOL WKS INC | 1,978 | 1,933 | 130 | 692 | 762 | 98 | $65,833,084,800 | 1,933 |
| PH · PARKER-HANNIFIN CORP COM | 1,986 | 1,929 | 159 | 752 | 703 | 111 | $108,315,149,544 | 1,929 |
| VLO · VALERO ENERGY CORP COM | 1,982 | 1,928 | 213 | 715 | 724 | 105 | $64,072,071,164 | 1,928 |
| FDX · FEDEX CORP COM | 1,968 | 1,922 | 117 | 764 | 711 | 194 | $59,848,004,435 | 1,922 |
| STX · SEAGATE TECHNOLOGY HLDNGS | 1,959 | 1,917 | 557 | 624 | 602 | 68 | $180,501,815,311 | 1,917 |
| MPC · MARATHON PETE CORP COM | 1,953 | 1,909 | 152 | 685 | 718 | 94 | $55,997,843,871 | 1,909 |
| PWR · QUANTA SVCS INC | 1,944 | 1,899 | 286 | 674 | 718 | 98 | $95,705,840,310 | 1,899 |
| IAU · iShares Gold Trust | 1,905 | 1,883 | 92 | 710 | 634 | 162 | $29,058,848,710 | 1,883 |
| XLF · Financial Select Sector SPDR Fund | 1,903 | 1,873 | 151 | 688 | 709 | 102 | $39,575,184,214 | 1,873 |
| BKNG · Booking Holdings Inc. | 1,930 | 1,872 | 171 | 1,698 | 34 | 158 | $135,427,173,052 | 1,872 |
| TGT · TARGET CORP COM | 1,901 | 1,863 | 185 | 729 | 685 | 141 | $51,458,656,646 | 1,863 |
| ACN · Accenture Plc Class A | 1,911 | 1,860 | 157 | 775 | 799 | 402 | $61,077,380,888 | 1,860 |
| CMCSA · Comcast Corp | 1,901 | 1,852 | 135 | 677 | 880 | 289 | $77,079,535,218 | 1,852 |
| MDLZ · Mondelez International,Inc. Class A | 1,905 | 1,851 | 123 | 706 | 767 | 120 | $64,364,011,904 | 1,851 |
| FCX · FREEPORT MCMORAN INC CL B | 1,900 | 1,846 | 177 | 847 | 611 | 130 | $78,185,288,600 | 1,846 |
| XLV · Health Care Select Sector SPDR Fund | 1,868 | 1,841 | 167 | 684 | 694 | 119 | $29,623,180,403 | 1,841 |
| BNY · BANK OF NY MELLON CORP COM | 1,886 | 1,834 | 205 | 669 | 708 | 90 | $83,126,809,433 | 1,834 |
| VXUS · VANGUARD STAR FDS | 1,850 | 1,830 | 183 | 885 | 471 | 62 | $37,551,331,795 | 1,830 |
| NSC · NORFOLK SOUTHN CORP COM | 1,870 | 1,827 | 116 | 611 | 643 | 85 | $53,635,086,308 | 1,827 |
| TRV · TRAVELERS COMPANIES INC COM | 1,864 | 1,821 | 172 | 685 | 628 | 105 | $60,985,442,079 | 1,821 |
| CEG · CONSTELLATION ENERGY CORP COM | 1,868 | 1,820 | 169 | 829 | 594 | 208 | $71,415,553,117 | 1,820 |
| BND · Vanguard Total Bond Market ETF | 1,834 | 1,810 | 128 | 904 | 567 | 87 | $92,583,608,029 | 1,810 |
| KMI · KINDER MORGAN INC DEL COM | 1,840 | 1,799 | 115 | 769 | 667 | 118 | $49,502,185,032 | 1,799 |
| WDC · WESTERN DIGITAL CORP | 1,850 | 1,795 | 514 | 596 | 604 | 91 | $206,277,591,078 | 1,795 |
| VNQ · Vanguard Real Estate | 1,812 | 1,791 | 121 | 763 | 623 | 92 | $21,990,989,587 | 1,791 |
| WMB · WILLIAMS COS INC COM | 1,837 | 1,786 | 138 | 727 | 665 | 119 | $81,608,199,571 | 1,786 |
| PGR · Progressive Corporation | 1,830 | 1,783 | 179 | 690 | 711 | 128 | $111,057,756,387 | 1,783 |
| SNDK · SanDisk Corporation | 1,827 | 1,781 | 727 | 528 | 466 | 92 | $247,997,891,179 | 1,781 |
| TT · TRANE TECHNOLOGIES PLC SHS | 1,826 | 1,777 | 164 | 713 | 591 | 91 | $94,096,435,072 | 1,777 |
| NOC · NORTHROP GRUMMAN CORP COM | 1,818 | 1,771 | 127 | 695 | 644 | 204 | $60,412,383,531 | 1,771 |
| VBR · Vanguard Small-Cap Value ETF | 1,771 | 1,755 | 108 | 650 | 664 | 57 | $20,834,767,341 | 1,755 |
| IVE · iShares S&P 500 Value ETF | 1,770 | 1,747 | 121 | 499 | 749 | 71 | $39,086,171,457 | 1,747 |
| NEM · NEWMONT CORP | 1,790 | 1,744 | 137 | 686 | 726 | 187 | $76,887,224,020 | 1,744 |
| APD · AIR PRODS & CHEMS INC | 1,779 | 1,733 | 116 | 605 | 739 | 129 | $60,062,877,215 | 1,733 |
| SPCX · SPACE EXPLORATION TECHN CORP CLASS A COM STK | 1,759 | 1,725 | 1,722 | 0 | 0 | 0 | $628,139,340,362 | 1,725 |
| ALL · ALLSTATE CORP COM | 1,757 | 1,716 | 170 | 674 | 538 | 110 | $50,642,119,140 | 1,716 |
| AMT · American Tower Corporation | 1,757 | 1,711 | 157 | 688 | 673 | 153 | $72,024,549,674 | 1,711 |
| INTU · Intuit Inc. | 1,757 | 1,710 | 172 | 610 | 806 | 430 | $63,601,213,152 | 1,710 |
| VRTX · Vertex Pharmaceuticals Incorporated | 1,764 | 1,710 | 172 | 707 | 623 | 110 | $119,742,936,655 | 1,710 |
| MAR · MARRIOTT INTL INC NEW CL A | 1,755 | 1,709 | 182 | 649 | 556 | 83 | $59,936,269,682 | 1,709 |
| SPYM · SPDR SER TR STATE STR SPDR PORT S&P 500 ETF | 1,732 | 1,708 | 176 | 891 | 462 | 52 | $115,202,608,474 | 1,708 |
| F · FORD MTR CO COM | 1,745 | 1,708 | 160 | 720 | 621 | 133 | $36,275,370,969 | 1,708 |
| ITOT · iShares Core S&P Total U.S. Stock Market ETF | 1,720 | 1,700 | 148 | 602 | 579 | 53 | $60,846,108,592 | 1,700 |
| NKE · NIKE,Inc. Class B | 1,742 | 1,700 | 129 | 647 | 764 | 311 | $39,531,825,779 | 1,700 |
| SHW · SHERWIN WILLIAMS CO | 1,747 | 1,695 | 159 | 568 | 729 | 116 | $69,296,092,856 | 1,695 |
| PLD · Prologis,Inc. | 1,740 | 1,686 | 143 | 807 | 550 | 83 | $119,613,173,330 | 1,686 |
| KMB · KIMBERLY-CLARK CORP COM | 1,719 | 1,681 | 179 | 632 | 628 | 119 | $35,386,816,331 | 1,681 |
| SHOP · SHOPIFY INC | 1,718 | 1,672 | 139 | 635 | 665 | 159 | $94,605,149,751 | 1,672 |
| AFL · AFLAC INC COM | 1,702 | 1,665 | 133 | 586 | 586 | 95 | $40,321,948,201 | 1,665 |
| TFC · TRUIST FINL CORP COM | 1,707 | 1,665 | 152 | 632 | 669 | 97 | $46,705,715,682 | 1,665 |
| ECL · ECOLAB INC COM | 1,717 | 1,664 | 124 | 616 | 692 | 116 | $62,759,655,300 | 1,664 |
| CME · CME Group Inc. Class A | 1,713 | 1,661 | 147 | 661 | 675 | 235 | $71,152,965,555 | 1,661 |
| SLB · Schlumberger Limited | 1,705 | 1,659 | 148 | 607 | 676 | 149 | $62,302,427,025 | 1,659 |
| SCHG · Schwab U.S. Large-Cap Growth ETF | 1,677 | 1,656 | 123 | 745 | 551 | 76 | $32,367,030,871 | 1,656 |
| CI · Cigna Corporation | 1,700 | 1,654 | 138 | 676 | 581 | 101 | $65,438,290,519 | 1,654 |