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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 08:41:23 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
TTWO · TAKE-TWO INTERACTIVE SOFTWARE COM1,1221,085172459320109$43,424,653,7601,085
VGSH · Vanguard Short-Term Treasury ETF1,0971,08310447936469$19,353,439,5041,083
RF · REGIONS FINANCIAL CORP NEW COM1,1111,07810643635681$21,839,247,0451,078
DGX · QUEST DIAGNOSTICS INC COM1,1131,07711142935470$22,202,198,7531,077
TPR · TAPESTRY INC COM1,1021,074121463378104$29,075,913,2241,074
CFG · CITIZENS FINL GROUP INC COM1,1011,07214547432172$28,599,685,2191,072
OMC · OMNICOM GROUP INC COM1,1051,072104350492132$21,216,909,8781,072
EQT · EQT CORP COM1,1141,072116435390178$31,290,505,6351,072
IWN · ISHARES TR1,0811,0699030036046$10,390,125,8601,069
XYL · XYLEM INC COM1,1051,068104374455115$25,722,753,2221,068
TRGP · TARGA RES CORP COM1,0981,06213441436573$54,631,241,0171,062
PPG · PPG INDS INC COM1,0961,06212138636171$24,368,309,3811,062
IQV · IQVIA HLDGS INC COM1,0911,061124399431109$30,251,542,7821,061
PCAR · PACCAR INC COM1,0991,06110438541489$46,713,268,6431,061
SCHM · Schwab US Mid-Cap ETF1,0741,0599136143035$10,214,817,0651,059
VXF · Vanguard Extended Market ETF1,0731,05910137832938$13,630,395,2181,059
HPQ · HP INC COM1,0871,05613942833388$18,392,578,1731,056
CASY · CASEYS GEN STORES INC1,0881,05519435039374$26,141,433,2971,055
XYZ · BLOCK INC CL A1,0851,05417739533390$33,629,786,3171,054
NDAQ · NASDAQ INC COM1,0911,053104415411115$37,210,085,3931,053
MSCI · MSCI INC COM1,0871,05011339141388$37,686,494,4811,050
GPC · GENUINE PARTS CO COM1,0821,049107371428111$15,358,295,1391,049
EFG · ISHARES MSCI EAFE GROWTH ETF1,0631,0499347929251$15,037,173,2991,049
ROP · ROPER TECHNOLOGIES INC COM1,0841,04881317534152$34,570,500,5581,048
DRI · DARDEN RESTAURANTS INC COM1,0871,04813743032989$23,194,648,5591,048
DD · DUPONT DE NEMOURS INC COMMON STOCK1,0821,0471,060040$14,324,565,0921,047
CBRE · CBRE GROUP INC CL A1,0761,047104406416111$38,137,115,0241,047
MLM · MARTIN MARIETTA MATLS INC COM1,0791,04610236339598$34,152,269,0231,046
EIX · EDISON INTL COM1,0801,04510447132985$26,915,377,7001,045
NBIS · NEBIUS GROUP N.V.1,0681,04539629728162$42,881,205,1591,045
IXUS · ISHARES TR1,0591,0439545630837$50,226,305,2041,043
SPSM · SPDR Portfolio S&P 600 Small Cap ETF1,0581,04310342837641$12,556,355,5821,043
CHD · CHURCH & DWIGHT CO INC COM1,0731,04210136240988$21,242,574,8401,042
UAL · UNITED AIRLS HLDGS INC COM1,0711,042194364347103$39,455,031,5971,042
SNA · SNAP ON INC COM1,0701,04110537937783$20,076,882,0731,041
TLT · ISHARES TR1,0501,036127383393172$31,598,544,4591,036
VMC · VULCAN MATLS CO COM1,0711,03512939036993$37,777,886,4421,035
ITA · iShares U.S. Aerospace & Defense ETF1,0471,03410537532993$7,075,138,1861,034
IWS · ISHARES RUSSELL MID-CAP VALUE ETF1,0501,0339028935639$11,956,274,3791,033
CLX · CLOROX CO DEL1,0561,032120405359159$9,936,591,4981,032
VEEV · VEEVA SYS INC CL A COM1,0661,031191385363154$25,687,993,7941,031
TSCO · TRACTOR SUPPLY CO COM1,0631,027133377418241$15,577,288,6171,027
GSK · GSK PLC SPONSORED ADR1,0451,0269237834481$18,166,755,6311,026
AEM · AGNICO EAGLE MINES LTD COM1,0561,02598349402164$49,555,008,3921,025
SPEM · SPDR Portfolio Emerging Markets ETF1,0391,0248045234946$12,357,562,0871,024
CPRT · COPART INC COM1,0631,023117403402139$22,118,580,4661,023
JEPQ · J P MORGAN EXCHANGE TRADED F1,0311,01811953826352$12,171,858,8851,018
MBB · iShares MBS ETF1,0301,0177755924979$35,144,920,3381,017
LH · LABCORP HOLDINGS INC COM SHS1,0501,0179735839373$22,199,345,1271,017
DASH · DOORDASH INC CL A1,0501,016158410356130$70,703,749,0101,016
CCJ · CAMECO CORP COM1,0401,01411438234797$28,255,896,6791,014
BIIB · BIOGEN INC COM1,0471,01411242729782$30,714,515,5411,014
PHM · PULTE GROUP INC COM1,0451,013110361415101$24,462,692,2361,013
TIP · iShares TIPS Bond ETF1,0251,0118642928085$10,166,058,2321,011
OEF · ISHARES TR1,0241,0097223341456$12,612,511,2121,009
EMXC · ISHARES INC1,0251,00913233739545$19,315,126,0371,009
MGK · Vanguard Mega Cap Growth ETF1,0241,0081028722248$17,502,955,0941,008
BIV · Vanguard Intermediate-Term Bond ETF1,0251,0076949631364$18,981,687,8131,007
PPL · PPL CORP COM1,0371,00611345829274$24,958,916,0181,006
ATO · ATMOS ENERGY CORP COM1,0461,00612141634595$28,027,509,9441,006
DTE · DTE ENERGY CO COM1,0371,00511943827674$25,737,271,3701,005
IGSB · ISHARES 1-5 YEAR INVESTMENT GRADE CORPORATE BOND ETF1,0141,0047442733377$16,095,899,2191,004
VTRS · VIATRIS INC COM1,0331,0019837032597$16,602,852,3851,001
STZ · CONSTELLATION BRANDS INC CL A1,0391,001101297454115$20,066,354,0931,001
ULTA · ULTA BEAUTY INC COM1,0311,00196325450166$19,093,255,5571,001
AVEM · Avantis Emerging Markets Equity ETF1,01399612946132440$23,637,202,988996
CRH · CRH PLC ORD1,029996127418359104$60,289,242,767996
BR · BROADRIDGE FINL SOLUTIONS INC COM1,025995102368413143$14,864,961,650995
NTRS · NORTHERN TR CORP COM1,02199412737033170$26,906,913,772994
NRG · NRG ENERGY INC COM NEW1,024992108387393151$28,835,779,364992
ODFL · OLD DOMINION FREIGHT LINE INC COM1,02799213639834575$35,803,514,999992
STLD · STEEL DYNAMICS INC COM1,02499114534537465$27,313,535,660991
HUBB · HUBBELL INC COM1,02198710839631965$26,641,749,802987
B · BARRICK MNG CORP1,01398387384340108$36,893,859,715983
EA · ELECTRONIC ARTS INC COM1,0139836937037188$49,991,370,561983
SCHV · SCHWAB STRATEGIC TR9959838237233450$11,564,320,038983
SYF · SYNCHRONYFINL1,00898211140535172$26,201,374,800982
KVUE · KENVUE INC1,015982101412367102$34,583,075,746982
FSLR · FIRST SOLAR INC COM1,012981144339361109$23,409,378,444981
GRMN · GARMIN LTD SHS1,0119799040735497$26,108,675,226979
WSM · WILLIAMS SONOMA INC COM1,00697914233636865$26,404,152,204979
IJK · ISHARES TR99597910022432645$8,390,195,025979
HYG · ISHARES TR9929788842230980$21,765,789,549978
CNC · CENTENE CORP DEL COM1,00797821334234476$31,005,198,089978
TTE · TOTALENERGIES SE ACT1,0029769734835993$79,242,392,875976
GNRC · GENERAC HLDGS INC1,00297319433632063$15,374,098,015973
ON · ON SEMICONDUCTOR CORP COM1,00097222930934068$37,805,742,906972
VGIT · Vanguard Intermediate-Term Treasury ETF9829709149625072$31,968,443,675970
CCL · CARNIVAL CORP LTD COMMON SHARES9959699571374$27,124,974,291969
ALAB · ASTERA LABS INC COM99396736628725785$61,203,842,344967
CBOE · CBOE GLOBAL MKTS INC COM993967119396349113$22,644,206,384967
RY · ROYAL BK CDA COM99096511232433070$129,559,765,880965
PFF · ISHARES TR9769607736734976$5,121,979,751960
CRDO · CREDO TECHNOLOGY GROUP HOLDING ORDINARY SHARES98596034230127774$35,868,612,845960
RIO · RIO TINTO PLC SPONSORED ADR97195810538628875$12,163,833,327958
CP · CANADIAN PACIFIC KANSAS CITY COM9839579333430456$54,776,164,639957
VLTO · VERALTO CORP COM SHS99095466320392119$21,153,079,466954
IBB · ISHARES TR96195110324831872$7,612,505,402951
GOVT · iShares U.S. Treasury Bond ETF9629489752923066$42,646,925,219948
NVT · NVENT ELEC PLC SHS98094820733729559$24,902,552,689948