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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 2026-10-10 04:21:00 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
XLY · SELECT SECTOR SPDR TR1,3151,29512245744897$17,970,621,5961,295
ETR · ENTERGY CORP NEW COM1,3351,29312555641678$52,512,781,8301,293
KR · KROGER CO COM1,3191,289119536481183$29,132,827,9801,289
IYW · iShares U.S. Technology ETF1,3021,28616027949247$13,050,150,4181,286
BIL · SPDR Bloomberg 1-3 Month T-Bill ETF1,3001,283110478595133$25,062,380,2591,283
LITE · LUMENTUM HLDGS INC COM1,3211,282364525326136$70,459,899,8901,282
WBD · WARNER BROS DISCOVERY INC COM SER A1,3181,2819650944198$51,860,847,0881,281
ET · ENERGY TRANSFER L P1,3041,2817554534974$21,106,013,4261,281
PEG · PUBLIC SVC ENTERPRISE GROUP COM1,3121,27511455440192$31,287,824,0411,275
COHR · COHERENT CORP COM1,3141,273324502367123$66,959,581,2391,273
RSG · REPUBLIC SVCS INC COM1,3101,27296510494114$38,613,963,9801,272
ABNB · Airbnb, Inc. Class A1,3141,271146486499139$51,638,505,1271,271
IDXX · IDEXX LABS INC COM1,3061,271102474511106$39,087,161,8591,271
FITB · FIFTH THIRD BANCORP COM1,3061,27014852441279$46,636,583,8111,270
VBK · Vanguard Small-Cap Growth ETF1,2831,26911541245952$14,600,674,2311,269
XEL · XCELENERGY INC1,2951,25810155539477$48,014,569,7891,258
BE · BLOOM ENERGY CORP1,2881,25637741438980$69,573,740,0711,256
AJG · GALLAGHER ARTHUR J & CO COM1,2971,256147464484106$54,686,492,5561,256
EBAY · EBAY INC. COM1,2921,256158439491110$45,734,927,5231,256
MCHP · MICROCHIP TECHNOLOGY INC. COM1,2901,25320745244395$49,400,988,0091,253
TEL · TE CONNECTIVITY PLC ORD SHS1,2881,252131472456110$55,350,440,3021,252
HLT · HILTON WORLDWIDE HLDGS INC COM1,2951,25218550142289$70,588,794,4121,252
EXC · EXELON CORP COM1,2921,25010558238095$44,187,887,0151,250
SRE · SEMPRA COM1,2881,24510651343598$55,931,721,4261,245
KKR · KKR & CO INC1,2861,241119506472123$50,218,242,0691,241
DDOG · DATADOGINCCLASSA1,2831,23930342644485$78,758,810,7821,239
AZO · AUTOZONE INC COM1,2751,238105412478126$49,727,998,4731,238
EFV · iShares MSCI EAFE Value ETF1,2541,2378037955496$20,843,259,7611,237
XLP · SELECT SECTOR SPDR TR1,2471,234109444455128$11,843,746,8371,234
NXPI · NXP SEMICONDUCTORS N V COM1,2671,23219546042476$67,181,680,8701,232
SDY · SPDR S&P Dividend ETF1,2501,2315837443852$9,703,614,5751,231
VOE · Vanguard Mid-Cap Value ETF1,2461,2297646941859$14,521,082,3101,229
AON · AON PLC SHS CL A1,2651,228126471457114$63,860,729,5841,228
EME · EMCOR GROUP INC COM1,2511,22016348743176$34,306,953,4491,220
STT · STATE STR CORP COM1,2601,22018741443271$42,592,474,1351,220
SPDW · SPDW1,2371,2199152841853$31,474,598,9471,219
OXY · OCCIDENTAL PETE CORP1,2451,218125505375181$40,516,522,8551,218
SPOT · SPOTIFYTECHNOLOGYSAF1,2541,217153459491176$62,265,870,6311,217
KEYS · KEYSIGHT TECHNOLOGIES INC COM1,2591,21119346739183$53,829,618,9971,211
BABA · ALIBABA GROUP HLDG LTD1,2321,210105426432227$22,266,308,3151,210
DFAC · DIMENSIONAL ETF TRUST1,2231,2097049336828$38,288,678,6271,209
MPWR · MONOLITHIC PWR SYS INC COM1,2491,20820741946480$65,602,216,2151,208
IWP · ISHARES RUSSELL MID-CAP GROWTH ETF1,2241,2069735439852$16,367,360,6541,206
SPYV · SPDR SER TR1,2201,2049349642153$29,808,133,2931,204
DHI · D R HORTON INC COM1,2411,20217647041788$39,368,854,7721,202
SHY · ISHARES TR1,2171,2008550844192$20,040,667,9801,200
GEHC · GE HEALTHCARE TECHNOLOGIES INC COMMON STOCK1,2331,199117400471165$25,236,569,2061,199
OTIS · OTIS WORLDWIDE CORP COM1,2331,196116431457123$25,567,311,4841,196
MTUM · iShares MSCI USA Momentum Factor ETF1,2111,19321036344566$24,718,410,5381,193
CIEN · CIENA CORP COM NEW1,2271,193248469386109$64,594,185,3881,193
NET · CLOUDFLARE INC CL A COM1,2281,193205487385118$69,777,241,3481,193
RCL · ROYAL CARIBBEAN GROUP COM1,2321,191151440456101$75,361,235,7211,191
JPST · J P MORGAN EXCHANGE TRADED F1,2011,1887551947982$25,569,256,5111,188
HAL · HALLIBURTON CO COM1,2081,177135492384128$24,959,258,6531,177
DOW · DOW HLDGS INC COM1,2071,175125406454234$15,433,258,0341,175
SOXX · ISHARES TR1,1901,17129733534945$22,098,352,7521,171
HIG · HARTFORD INSURANCE GROUP INC COM1,2021,1689641846593$33,472,311,1171,168
WAB · WABTEC COM1,1961,16410943040779$42,184,802,4281,164
UL · UNILEVER PLC SPON ADR NEW1,1771,16211345143686$15,484,091,0431,162
ADSK · AUTODESK INC COM1,1991,16292387545217$39,473,832,5971,162
AME · AMETEK INC COM1,2011,16011548940372$49,680,474,1021,160
CMG · CHIPOTLEMEXICANGRILLI1,1961,157103386535160$38,745,575,4371,157
FANG · DIAMONDBACK ENERGY INC COM1,1951,157124466404129$35,405,196,4571,157
WAT · WATERS CORP COM1,1851,153144350484136$37,259,713,4771,153
BP · BP PLC SPONSORED ADR1,1731,15092371426184$13,391,142,3271,150
APO · APOLLO GLOBAL MGMT INC COM1,1791,14813549937789$45,752,553,7021,148
XLC · Communication Services Select Sector SPDR Fund1,1661,147100414436119$19,750,570,5361,147
SOLS · SOLS1,1761,142144329463116$11,864,075,9501,142
TROW · PRICE T ROWE GROUP INC COM1,1701,13815243641179$21,626,215,7991,138
IRM · IRON MTN INC DEL COM1,1731,13714344638660$32,441,349,3041,137
AVUV · Avantis US Small Cap Value ETF1,1491,13412459332144$20,219,823,0311,134
DOV · DOVER CORP COM1,1701,13411637440877$27,539,847,5801,134
MTB · M & T BK CORP COM1,1641,13412039240974$31,358,680,6101,134
ADM · ARCHER DANIELS MIDLAND CO COM1,1641,12912844338184$32,110,189,1801,129
IEF · ISHARES TR1,1451,12913447138998$43,378,752,6201,129
FISV · FISERV INC1,1541,12889390511203$23,421,295,1061,128
HBAN · HUNTINGTON BANCSHARES INC COM1,1541,120103460384102$31,107,899,1441,120
BKR · BAKER HUGHES COMPANY CL A1,1531,117114446438121$53,631,842,6571,117
VHT · VANGUARD HEALTH CARE ETF1,1221,11310036538672$6,322,325,6681,113
TDG · TRANSDIGM GROUP INC COM1,1481,11213244637095$69,987,164,0091,112
GDX · VANECK ETF TRUST1,1241,10988354405153$13,406,210,3231,109
AIG · AMERICAN INTL GROUP INC COM NEW1,1401,10811342243493$37,276,491,9951,108
LQD · iShares iBoxx Inv Grade Corporate Bond ETF1,1221,1069543338085$33,119,852,3081,106
DG · DOLLAR GEN CORP COM1,1351,104109419425129$24,792,835,6361,104
FDXF · FEDEX FGHT HLDG CO INC COMMON STOCK1,1391,1031,126001$14,512,991,7061,103
BNDX · Vanguard Total International Bond Index Fund ETF1,1221,1018957532493$45,687,610,9181,101
A · AGILENT TECHNOLOGIES INC COM1,1351,09913445336078$34,581,830,3201,099
AXON · AXONENTERPRISEINC1,1331,096190476325113$40,430,452,6061,096
AWK · AMERICAN WTR WKS CO INC NEW COM1,1341,096106412419114$26,812,799,3031,096
EXPE · EXPEDIA GROUP INC COM NEW1,1311,096132457377111$30,887,278,6821,096
RKLB · ROCKETLABCORPCLASSCLASSA1,1211,09431248123671$32,598,777,7671,094
JBL · JABIL INC COM1,1231,09322338337681$39,213,402,0311,093
ES · EVERSOURCE ENERGY COM1,1271,09313547732284$23,453,020,7011,093
KHC · KRAFT HEINZ CO COM1,1191,093127483315110$25,215,221,0241,093
PSA · PUBLIC STORAGE COM1,1281,09212044737086$48,600,359,6601,092
COIN · COINBASE GLOBAL INC COM CL A1,1221,09096349463164$21,365,971,4211,090
IWO · ISHARES TR1,1071,09011826935141$11,865,423,5651,090
IBKR · INTERACTIVE BROKERS GROUP INC COM CL A1,1201,08718639738566$33,785,754,4641,087
FLEX · FLEX LTD ORD1,1231,08738927735755$56,121,148,0021,087
VOT · Vanguard Mid-Cap Growth ETF1,1041,0869636935350$12,011,985,0711,086