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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 2026-10-06 13:52:46 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
LHX · L3HARRIS TECHNOLOGIES INC COM1,6921,642124702572163$47,542,330,4791,642
SCHF · SCHWAB STRATEGIC TR1,6631,64212374053651$39,614,782,5131,642
XLI · SELECT SECTOR SPDR TR1,6541,62818064549791$28,470,219,0191,628
EEM · ISHARES TR1,6481,62712960656299$87,940,068,3071,627
ICE · Intercontinental Exchange,Inc.1,6651,618121599713178$64,297,550,6301,618
ORLY · OREILLY AUTOMOTIVE INC COM1,6611,618138563693130$65,485,504,7611,618
QUAL · ISHARES MSCI USA QUALITY FACTOR ETF1,6411,618107494759110$37,520,514,7671,618
MUB · ISHARES TR1,6401,6179578751076$40,011,418,8361,617
TMUS · T-Mobile US,Inc.1,6611,613148681639209$78,222,291,2201,613
OKE · ONEOK INC NEW1,6541,61195704533123$44,762,642,8831,611
VEU · Vanguard FTSE All-World ex-US ETF1,6261,60711364950051$31,416,578,5221,607
CARR · CARRIER GLOBAL CORPORATION COM1,6471,60322756655675$53,079,888,4611,603
NVS · NOVARTIS AG SPONSORED ADR1,6181,59711052757489$21,249,476,5941,597
EOG · EOG RES INC COM1,6371,593151672592127$65,696,034,9801,593
SYY · SYSCOCORP1,6331,590186589599125$35,363,091,1121,590
SCHX · Schwab U.S. Large-Cap ETF1,6011,58512062057255$33,291,415,2361,585
ELV · Elevance Health, Inc.1,6091,570246593546104$76,771,486,9201,570
IWR · iShares Russell Midcap ETF1,5901,56911750750452$47,999,087,2521,569
JCI · JOHNSON CTLS INTL PLC SHS1,6101,56514863356386$79,439,802,1471,565
EPD · ENTERPRISE PRODS PARTNERS L1,5891,56577563443100$19,951,980,4631,565
HWM · HOWMET AEROSPACE INC COM1,6031,56121167449184$97,885,612,1661,561
XLU · Utilities Select Sector SPDR Fund1,5791,556108637554128$14,843,328,1591,556
WELL · WELLTOWER INC COM1,5931,54618567048182$160,720,612,3801,546
URI · UNITED RENTALS INC COM1,5901,54423155654798$64,423,286,9701,544
SMH · VANECK ETF TRUST1,5551,53531649948570$37,953,881,9991,535
FTNT · FORTINET INC COM1,5741,53233748956195$77,189,893,4681,532
IWB · ISHARES RUSSELL 1000 ETF1,5461,52611737056640$39,097,789,8841,526
MDY · SPDR S&P Midcap 400 ETF Trust1,5321,51513834453746$17,303,840,4941,515
GM · GENERAL MTRS CO COM1,5641,515157622526109$58,248,269,9571,515
D · DOMINION ENERGY INC COM1,5491,510170587521106$48,611,698,5591,510
SHEL · SHELL PLC SPON ADS1,5271,50493564537156$28,779,312,0741,504
NUE · NUCOR CORP COM1,5411,50322850152066$40,331,282,8791,503
ROK · ROCKWELL AUTOMATION INC COM1,5361,49720857643993$48,734,418,7481,497
PAYX · PAYCHEX INC1,5291,487143631540118$29,142,912,7321,487
ENB · ENBRIDGE INC COM1,5171,4779853751884$58,409,017,0671,477
DAL · DELTA AIR LINES INC COM NEW1,5151,470282514488112$54,223,194,2301,470
MRSH · Marsh & McLennan Companies,Inc.1,5021,458125479662166$73,077,992,5271,458
VCSH · VANGUARD SCOTTSDALE FDS1,4741,4578674343784$28,606,077,4651,457
CAH · CARDINAL HEALTH INC1,4951,45714853656689$48,989,323,1171,457
IBIT · IShares Bitcoin Trust Registered1,4711,456113581469194$11,549,253,4821,456
CDNS · CADENCE DESIGN SYSTEM INC COM1,5041,45320261552399$90,604,002,9131,453
CTVA · CORTEVA INC COM1,4921,450117515528101$50,245,183,8491,450
AZN · ASTRAZENECA PLC ORD1,4731,436265517474108$195,774,644,8921,436
DIA · STATE STR SPDR DOW JONES IND1,4471,43215042141767$16,083,760,8641,432
MSI · MOTOROLA SOLUTIONS INC COM NEW1,4701,431116510600132$61,072,438,4741,431
BSX · Boston Scientific Corporation1,4781,428132586617325$57,381,159,4651,428
DVN · DEVON ENERGY CORP NEW COM1,4611,426337790234130$41,993,172,8001,426
O · REALTY INCOME CORP COM1,4581,42412265847294$46,162,643,7681,424
FAST · FASTENAL CO COM1,4591,42112056252681$47,067,535,9051,421
APP · APPLOVIN CORP COM CL A1,4611,414198613490128$116,301,370,1801,414
MELI · MERCADOLIBREINC1,4491,413130566533137$65,290,188,7131,413
SNOW · SNOWFLAKE INC COM SHS1,4581,412310520477138$70,061,790,3591,412
DVY · ISHARES TR1,4221,4057344445759$10,596,291,2681,405
HPE · HEWLETT PACKARD ENTERPRISE CO COM1,4401,40338646341673$53,200,028,3751,403
BDX · BECTON DICKINSON & CO1,4371,401119542552151$41,142,513,0011,401
MET · METLIFE INC COM1,4431,40114955249585$41,104,329,1031,401
SNPS · SYNOPSYS INC COM1,4461,401190575498136$78,823,113,7721,401
SLV · iShares Silver Trust1,4171,39877477494218$7,715,451,0911,398
BRK-A · BERKSHIRE HATHAWAY INC DEL1,4171,396448418353$63,681,144,4471,396
YUM · YUM BRANDS INC COM1,4311,393115489493119$38,957,138,2831,393
ED · CONSOLIDATED EDISON INC1,4291,39210861839496$31,100,147,8961,392
JEPI · JPMORGAN EQUITY PREMIUM INCOME ETF1,4091,39210466849094$18,173,364,3161,392
ZTS · ZOETIS INC CL A1,4291,390153504601334$28,587,303,1321,390
SPYG · SPDR Portfolio S&P 500 Growth ETF1,4091,38814154249346$40,519,444,6821,388
CTAS · CINTAS CORP COM1,4281,388128507584137$46,192,163,5121,388
VTEB · VANGUARD TAX-EXEMPT BOND ETF1,4011,38710969038663$30,806,356,2341,387
SCHB · Schwab U.S. Broad Market ETF1,3901,37611853648643$15,492,931,5401,376
TER · TERADYNE INC COM1,4231,376318491465125$73,141,585,4131,376
PRU · PRUDENTIAL FINL INC COM1,4101,37613553947188$23,518,817,6881,376
ROST · ROSS STORES INC COM1,4151,376162587439100$63,730,254,5211,376
HSY · HERSHEY CO COM1,4071,370109538508177$22,839,885,9361,370
MCO · MOODYS CORP COM1,4071,370138499525111$71,680,854,4211,370
VST · VISTRA CORP COM1,4051,366206622417126$45,135,537,8421,366
WEC · WEC ENERGY GROUP INC COM1,4041,36410457841682$32,721,579,2441,364
USMV · iShares MSCI USA Min Vol Factor ETF1,3751,3589941957192$16,541,674,9101,358
AMP · AMERIPRISE FINL INC COM1,3881,3519646353694$35,901,333,3191,351
PYPL · PAYPALHLDGSINC1,3881,35089405688198$28,212,058,8631,350
VV · VANGUARD INDEX FDS1,3701,34910440745445$36,811,859,9251,349
HOOD · ROBINHOOD MKTS INC1,3861,347253568406142$61,411,934,6461,347
VCIT · Vanguard Intermediate-Term Corporate Bond ETF1,3611,3448569839490$49,749,912,8551,344
QQQM · INVESCO EXCH TRADED FD TR II1,3551,34020567631242$39,350,673,1731,340
BSV · Vanguard Short-Term Bond ETF1,3551,3359364640776$35,007,286,8731,335
SCHA · Schwab U.S. Small-Cap ETF1,3501,33313147650639$9,036,258,1301,333
DGRO · iShares Core Dividend Growth ETF1,3451,3249460339865$24,020,492,6801,324
GWW · WW GRAINGER INC COM1,3631,32415648743361$47,905,344,6981,324
NVO · NOVO-NORDISK A S ADR1,3501,322197465459119$15,632,250,4281,322
MNST · MONSTER BEVERAGE CORP NEW COM1,3651,32221350646587$63,073,531,9371,322
EQIX · EQUINIX INC COM1,3591,32014856442874$100,203,264,7371,320
FIX · COMFORT SYS USA INC COM1,3521,31823449748680$64,395,080,3781,318
SPG · SIMON PPTY GROUP INC NEW COM1,3581,31515151546592$67,625,461,8681,315
COR · CENCORA INC COM1,3461,31394432620178$51,749,347,0891,313
HCA · HCA Healthcare Inc1,3381,301110445572186$51,236,787,8251,301
LNG · CHENIERE ENERGY INC COM NEW1,3391,301147526471169$44,403,175,2961,301
VT · Vanguard Total World Stock ETF1,3181,29913656837953$20,922,334,2551,299
GIS · GENERAL MILLS INC COM1,3361,298169536430143$16,352,027,0841,298
REGN · REGENERON PHARMACEUTICALS COM1,3381,296114483542168$57,076,172,9681,296
Q · QNITY ELECTRONICS INC COMMON STOCK1,3311,29422941244378$26,318,718,2111,294
SGOV · iShares 0-3 Month Treasury Bond ETF1,3051,29316954249295$21,796,866,6931,293
EW · EDWARDS LIFESCIENCES CORP COM1,3311,289141467468101$47,138,856,0331,289
DLR · DIGITAL RLTY TR INC COM1,3251,28814858438767$67,970,501,2211,288