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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 12:14:14 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
UNM · UNUM GROUP COM76674611228424051$12,646,090,180746
HAS · HASBRO INC COM77574465298283111$11,423,940,611744
SMCI · SUPER MICRO COMPUTER INC76974313730123482$13,096,454,436743
RGLD · ROYAL GOLD INC76574275288270123$14,148,637,307742
DOC · HEALTHPEAK PROPERTIES INC COM7657419323332593$14,148,015,316741
TYL · TYLER TECHNOLOGIES INC COM76674096231328115$12,641,913,627740
OHI · OMEGA HEALTHCARE INVS INC COM7647408029625264$11,817,256,235740
FN · FABRINET SHS76374017225425180$20,365,566,940740
MP · MP MATERIALS CORP75974012328720781$8,222,632,525740
ASTS · AST SPACEMOBILE INC COM CL A756737164369139102$15,304,820,214737
ACWX · iShares MSCI ACWI ex U.S. ETF7457368034817636$7,879,430,123736
SU · SUNCOR ENERGY INC NEW COM7577367828325470$43,207,481,350736
AVB · AVALONBAY CMNTYS INC COM7597367626329065$24,915,132,980736
VTWO · VANGUARDRUSSELL2000ETF7467358925822631$13,262,277,986735
EXEL · EXELIXIS INC COM76073412225528464$14,096,052,093734
CSGP · COSTAR GROUP INC COM760733108303266143$11,736,676,739733
CDW · CDW CORP COM759733105258303108$18,914,974,105733
WWD · WOODWARD INC COM75973310627026281$22,866,903,028733
IDEV · ISHARES TR7447338032121547$26,160,146,202733
IFF · INTERNATIONAL FLAVORS&FRAGRANC COM75673210429523257$21,537,425,679732
SONY · SONY GROUP CORP SPONSORED ADR7447309023227479$9,519,408,464730
NDSN · NORDSON CORP7587309529224147$12,882,014,386730
ENTG · ENTEGRIS INC COM75072716326622961$29,576,057,681727
ZS · ZSCALERINC749726129282248134$11,678,759,026726
CNQ · CANADIAN NAT RES LTD MED TERM COM7497269428724484$59,801,456,368726
FOXA · FOX CORP CL A COM746724108255280104$13,499,305,685724
MOAT · VANECK ETF TRUST7337244617136039$6,809,664,323724
XPO · XPO INC COM75272315327121278$24,402,932,633723
VSS · Vanguard FTSE All-World ex-US Small-Cap ETF7307226125224634$5,878,638,639722
DEO · DIAGEO PLC SPON ADR NEW72972285240261103$4,541,078,455722
AVDE · Avantis International Equity ETF7317217739616725$14,606,106,549721
SNX · TD SYNNEX CORPORATION COM74072116523523736$19,590,350,568721
SHV · iShares Short Treasury Bond ETF7267205426031171$9,737,217,805720
NTR · NUTRIEN LTD COM7367198427324396$19,146,552,479719
BG · BUNGE GLOBAL SA COM SHS74471911528924884$19,607,372,077719
GGG · GRACO INC COM73471866262285100$11,296,305,070718
MLI · MUELLER INDS INC COM7447179131823176$12,510,129,853717
HST · HOST HOTELS & RESORTS INC COM74371510133021451$16,811,925,337715
DPZ · DOMINOS PIZZA INC COM73871496280290158$10,878,622,977714
ALLE · ALLEGION PLC7377147226027794$12,131,876,020714
SCHO · Schwab Short Term US Treasury ETF7237128432322554$8,383,625,755712
CPAY · CORPAY INC COM SHS73771210827624654$21,349,481,292712
ESGV · Vanguard ESG U.S. Stock ETF7217117426919429$4,167,993,780711
PNW · PINNACLE WEST CAP CORP7327117629820252$14,121,773,176711
SNY · SANOFI SA SPONSORED ADR71970980210297103$8,082,813,040709
DFAE · DIMENSIONAL ETF TRUST7177096830125726$8,421,799,785709
NXT · NEXTPOWER INC CLASS A COM72770811524425693$18,554,215,626708
SSNC · SS&C TECH HLDGS COM7287089129226082$12,584,235,433708
AVDV · Avantis International Small Cap Val ETF7157078835017432$15,148,392,947707
VMBS · VANGUARD SCOTTSDALE FDS7187065932021954$14,013,398,169706
PODD · INSULET CORP COM73270585329255137$10,935,199,884705
DFAX · DIMENSIONAL ETF TRUST7147054429523824$9,714,595,417705
PNR · PENTAIR PLC SHS7257038726425897$11,728,882,449703
IGIB · ISHARES TR7137037031320570$14,256,652,947703
HSBC · HSBC HLDGS PLC SPON ADR NEW71470012127818452$8,004,681,486700
AA · ALCOA CORP COM71669887257249140$10,707,169,990698
ITT · ITT INC COM7236977624225776$17,374,802,225697
EVR · EVERCORE INC CLASS A71569710525824146$12,238,323,494697
FNF · FIDELITY NATIONAL FINANCIAL7166966424626281$10,544,810,190696
PNFP · PINNACLE FINL PARTNERS INC71669614024722071$13,425,687,157696
RACE · FERRARI N V7196949522624994$22,634,656,903694
VMRK · EQUITY RESIDENTIAL7186937725724964$24,869,340,217693
SWKS · SKYWORKS SOLUTIONS INC COM71869311424024082$12,395,265,488693
DTM · DT MIDSTREAM INC COMMON STOCK7146927426820250$13,139,829,157692
JKHY · HENRY JACK & ASSOC INC71469191238310151$9,553,849,391691
AGNC · AGNC INVT CORP COM7066909531317970$5,187,337,980690
TRMB · TRIMBLE INC COM70968958245311133$11,956,880,575689
VPU · Vanguard Utilities ETF6996885324620434$2,677,988,880688
LVS · LAS VEGAS SANDS CORP COM71368863256298118$12,465,014,743688
PYLD · PIMCO MULTISECTOR BOND ACTIVE EXCHANGE-TRADED FUND6946867644711936$12,327,948,498686
TRP · TC ENERGY CORP7036867024822650$45,744,565,784686
AIQ · GLOBAL X FDS69268515223316334$5,248,906,547685
ECHO · ECHOSTAR CORP704684148267218110$17,482,862,332684
GL · GLOBE LIFE INC70368310023721761$11,568,583,063683
MEDP · MEDPACE HLDGS INC COM70068169205309101$13,063,920,509681
LECO · LINCOLN ELEC HLDGS INC7046817022027254$11,805,269,793681
FLOT · iShares Floating Rate Bond ETF6916807828821253$6,181,575,612680
WCC · WESCO INTL INC COM70668011820727936$16,218,000,012680
AES · AES CORP COM70667973268249113$9,377,309,031679
AER · AERCAP HOLDINGS NV SHS6966788227123959$19,912,386,985678
TEAM · ATLASSIANCORPCLASSA696676163261194126$12,351,596,114676
DKNG · DRAFTKINGS INC NEW695676117180254130$10,312,862,562676
WTW · WILLIS TOWERS WATSON PLC LTD SHS6956756923628394$24,651,514,669675
AMCR · AMCOR PLC69567512029521385$15,578,544,445675
WTRG · ESSENTIAL UTILS INC COM7036746825823866$8,575,392,507674
NVR · NVR INC COM6916738224423951$16,246,194,123673
RVMD · REVOLUTION MEDICINES INC COM69367323824114863$40,122,738,559673
IWY · ISHARES TR6876737522724132$12,892,811,421673
KIM · KIMCO REALTY CORP COM6956718128220242$16,913,424,472671
EG · EVEREST GROUP LTD COM6916717926125959$14,179,940,629671
BAX · BAXTER INTL INC6906709825019677$11,865,616,428670
ONTO · ONTO INNOVATION INC COM69266816620123953$18,308,276,460668
RBC · RBC BEARINGS INC COM69166711924024438$20,105,110,470667
IEX · IDEX CORP COM6916678425521069$16,997,899,231667
OC · OWENS CORNING NEW69366712923022274$13,147,869,116667
RS · RELIANCE INC6886678225123342$15,625,515,759667
USHY · iShares Broad USD High Yield Corporate Bond ETF6796667331617855$25,947,535,941666
SBAC · SBA COMMUNICATIONS CORP CL A6866668525724367$18,521,445,607666
SCHZ · SCHWAB STRATEGIC TR6746655432619646$4,323,176,073665
TTD · THETRADEDESKINCCLASSCLASSA68666496224261193$6,819,500,611664