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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 19:08:29 UTC. Equal scores are ordered by SEC CIK or security ID.

SecurityFilersManagersNewAddedReducedExitedReported share valueScore
IREN · IRENLTDF68066422123914148$9,739,228,811664
GEN · GEN DIGITAL INC COM68766410228021291$13,553,598,948664
CDE · COEUR MNG INC COM NEW683664127260196103$12,894,919,087664
DINO · HF SINCLAIR CORP COM6886649525624661$10,841,474,925664
FTAI · FTAI AVIATION LTD SHS68766413525520370$26,783,190,642664
VDC · Vanguard Consumer Staples ETF6686637021622341$3,325,761,828663
PTC · PTC INC COM68566399235285115$12,722,725,793663
AEIS · ADVANCED ENERGY INDS COM68366117421422070$14,952,922,796661
THC · TENET HEALTHCARE CORP COM NEW68266088234264102$15,003,562,924660
PINS · PINTEREST INC CL A678658108192277139$10,809,471,689658
TEVA · TEVA PHARMACEUTICAL INDS LTD SPONSORED ADS6766577627519754$24,739,188,848657
OKLO · OKLO INC COM CL A674657113260176121$4,294,929,447657
FHN · First Horizon Corporation6776557822624450$10,553,717,882655
USFD · US FOODS HLDG CORP COM6746557722927783$24,072,421,679655
KD · KYNDRYL HLDGS INC6766557816621670$2,166,064,085655
BLDR · BUILDERS FIRSTSOURCE INC COM67265393241261149$9,626,440,618653
BAI · BLACKROCK ETF TRUST66365313617831420$15,510,370,931653
HALO · HALOZYME THERAPEUTICS INC COM67465210027020766$9,619,009,499652
COO · COOPER COS INC674652106256239102$15,017,911,159652
SAN · BANCO SANTANDER SA ADR6636518131215160$6,941,908,909651
BEN · FRANKLIN RESOURCES INC COM66965010623722453$9,058,077,566650
PHYS · SPROTT PHYSICAL GOLD TR6556503820019163$4,400,320,767650
IVZ · INVESCO LTD SHS6706499726222363$11,241,589,145649
ALGN · ALIGN TECHNOLOGY INC COM6766496721827181$12,198,910,434649
DOCU · DOCUSIGN INC COM67564983239248115$7,870,199,747649
FTEC · Fidelity MSCI Information Technology Index ETF6616489120521436$4,728,021,093648
YUMC · YUM CHINA HLDGS INC66664864185237101$10,423,356,982648
INSM · INSMED INC COM PAR $.01667647112247231122$23,849,717,276647
FNV · FRANCO NEV CORP COM6646468324420556$29,043,792,675646
JLL · JONES LANG LASALLE INC COM6666467623326670$13,445,129,335646
HEI-A · HEICO CORP NEW6696469825521553$18,032,250,591646
AFRM · AFFIRM HLDGS INC COM CL A66364513926117371$21,211,367,465645
MOS · MOSAIC CO COM66964493280214126$6,398,420,362644
CLH · CLEAN HARBORS INC COM6636448920525155$14,767,946,933644
BMO · BANK MONTREAL MEDIUM COM6596428621221463$60,019,320,493642
CGGR · CAPITAL GROUP GROWTH ETF6536428036913431$19,041,145,280642
ORI · OLD REP INTL CORP COM6596417020026673$7,614,294,928641
MGM · MGM RESORTS INTERNATIONAL66163912117423874$7,663,498,496639
HLN · HALEON PLC SPON ADS6486378221421558$5,518,511,315637
TM · TOYOTA MOTOR CORP ADS64463768205236125$4,346,264,705637
CGNX · COGNEX CORP65463713126118055$12,645,783,734637
IT · GARTNERINC65363680194298143$9,689,070,825636
MTSI · MACOM TECH SOLUTIONS HLDGS INC COM65963618121319040$27,687,415,432636
NFG · NATIONAL FUEL GAS CO COM6556368726218090$6,173,889,054636
IQLT · ISHARES TR6476355726621032$12,050,410,139635
ARKK · ARK ETF TR6406359713922559$3,649,688,752635
APTV · APTIV PLC66063571251265113$12,884,843,324635
BURL · BURLINGTON STORES INC COM6566338727421960$20,468,176,753633
EWBC · EAST WEST BANCORP INC COM65463310524120556$16,316,204,723633
TXRH · TEXAS ROADHOUSE INC COM6506339920425572$12,474,276,035633
VMI · VALMONT INDS INC COM65463211419823066$10,561,030,964632
TLN · TALEN ENERGY CORP COM64963214223719673$18,497,831,530632
TKO · TKO GROUP HOLDINGS INC CL A6576329021924278$14,786,697,684632
DFIC · DIMENSIONAL ETF TRUST6396325135914222$12,269,696,530632
ESGE · ISHARES INC6396316218327436$5,136,719,705631
LII · LENNOX INTL INC COM6576318422923755$15,357,946,782631
AMKR · AMKOR TECHNOLOGY INC COM64963116621719650$9,955,252,371631
GSLC · GOLDMAN SACHS ETF TR6426307217324730$13,240,938,958630
FVD · FIRST TR VALUE LINE DIVID IN6426293718830029$5,155,966,754629
KGC · KINROSS GOLD CORP6446286723822692$17,415,045,525628
QXO · QXO INC COM NEW64662814231211381$15,393,277,912628
MPLX · MPLX LP6396285124314957$11,056,137,698628
JAZZ · JAZZ PHARMACEUTICALS PLC SHS USD64762712924119056$15,485,739,125627
SFM · SPROUTS FMRS MKT INC COM6496279321624487$8,703,537,573627
EMN · EASTMAN CHEM CO COM6496278123519674$7,218,776,586627
OGE · OGE ENERGY CORP6446257027015549$8,071,881,421625
RPRX · ROYALTY PHARMA PLC6496259729317943$20,560,962,220625
DSI · iShares MSCI KLD 400 Social ETF6386245819123519$3,535,982,980624
ZBRA · ZEBRA TECHNOLOGIES CORPORATION CL A645624115191242109$12,856,904,032624
SW · SMURFIT WESTROCK PLC SHS6416239626819569$23,217,628,957623
CHKP · CHECK POINT SOFTWARE TECH LTD ORD64262369207267126$9,845,896,869623
TTMI · TTM TECHNOLOGIES INC64162317221920557$18,127,960,535623
FBTC · Fidelity Wise Origin Bitcoin Fund6266226524217081$1,707,159,675622
NCLH · NORWEGIAN CRUISE LINE HLDGS LT SHS6386218319521187$9,924,508,297621
OGN · ORGANON & CO COMMON STOCK63662111011819591$2,923,898,779621
AYI · ACUITY INC COM64262010822219353$11,297,413,737620
IDV · ISHARES TR6326205327318430$4,635,827,900620
ALC · ALCON AG ORD SHS6356197014727792$16,034,982,972619
GRID · FIRST TR EXCHANGE TRADED FD6306191203529135$6,327,192,969619
BJ · BJS WHSL CLUB HLDGS INC COM6396189522323585$12,073,444,954618
VIS · VANGUARD WORLD FD6266185920817739$4,654,343,138618
VONV · VANGUARD SCOTTSDALE FDS6276177623018125$17,135,570,511617
RGA · REINSURANCE GROUP AMER INC COM NEW6346176424121345$13,816,615,158617
MOD · MODINE MFG CO COM63861714519822755$13,984,362,896617
VLUE · ISHARES TR62661710918320837$6,791,310,930617
NWSA · NEWS CORP NEW CL A6396169224819044$9,437,942,887616
NYT · NEW YORK TIMES CO MTN BE CL A6356157822922876$11,662,523,686615
DVA · DAVITA INC COM63361411718822568$13,116,301,959614
AR · ANTERO RESOURCES CORP COM6316148928815894$9,690,773,196614
DCI · DONALDSON INC COM6336147121722253$9,440,620,705614
KNX · KNIGHT-SWIFT TRANSN HLDGS IN63261416320617043$12,666,945,945614
FWONK · LIBERTY MEDIA CORP DEL COM LBTY ONE S C6316138526417472$21,310,644,767613
ARW · ARROW ELECTRS INC63361314321319543$11,146,228,803613
KTOS · KRATOS DEFENSE & SEC SOLUTIO632613103232226185$7,685,817,219613
XAR · SPDR S&P Aerospace & Defense ETF6196118924114347$2,943,055,346611
SLYV · SPDR S&P 600 Small Cap Value ETF6216105019424629$3,311,802,783610
GLPI · GAMING & LEISURE P COM6276107925419549$12,370,075,342610
ESS · ESSEX PPTY TR INC COM6356106927218948$19,001,511,386610
HRL · HORMEL FOODS CORP COM6276108623123397$5,988,441,486610
NGG · NTNLGRIDPLCADRFSPONSOREDADR1ADRREPS5ORDSHS6206096927416343$5,382,997,320609