Die am breitesten gehaltenen Gesellschaften
Sortiert nach der Anzahl der Fonds, die eine Position melden.
30.697 insgesamt
| Rang | Gesellschaft | Halter | Wert |
|---|---|---|---|
| 1.201 | Kontoor Brands Inc US50050N1037 | 373 | 2 Mrd. $ |
| 1.202 | Group 1 Automotive Inc US3989051095 | 373 | 1,9 Mrd. $ |
| 1.203 | Canadian Pacific Kansas City Ltd CA13646K1084 | 372 | 10 Mrd. $ |
| 1.204 | Murata Manufacturing Co Ltd JP3914400001 | 372 | 6,9 Mrd. $ |
| 1.205 | Webster Financial Corp US9478901096 | 372 | 3,6 Mrd. $ |
| 1.206 | Archrock Inc US03957W1062 | 372 | 3,2 Mrd. $ |
| 1.207 | SM Energy Co US78454L1008 | 372 | 3,1 Mrd. $ |
| 1.208 | Envista Holdings Corp US29415F1049 | 372 | 2,2 Mrd. $ |
| 1.209 | Associated Banc-Corp US0454871056 | 372 | 2,1 Mrd. $ |
| 1.210 | Mattel Inc US5770811025 | 372 | 2 Mrd. $ |
| 1.211 | Fujikura Ltd. JP3811000003 | 371 | 7,6 Mrd. $ |
| 1.212 | Heineken NV NL0000009165 | 371 | 6,5 Mrd. $ |
| 1.213 | Dassault Systemes SE FR0014003TT8 | 371 | 4,9 Mrd. $ |
| 1.214 | Balchem Corp US0576652004 | 371 | 2,6 Mrd. $ |
| 1.215 | Celestica Inc CA15101Q2071 | 370 | 8,7 Mrd. $ |
| 1.216 | Generali IT0000062072 | 370 | 5,8 Mrd. $ |
| 1.217 | Thales SA FR0000121329 | 370 | 3,8 Mrd. $ |
| 1.218 | CNX Resources Corp US12653C1080 | 370 | 2,7 Mrd. $ |
| 1.219 | elf Beauty Inc US26856L1035 | 370 | 1,8 Mrd. $ |
| 1.220 | Sun Hung Kai Properties Ltd HK0016000132 | 369 | 4,1 Mrd. $ |
| 1.221 | AeroVironment Inc US0080731088 | 369 | 3,3 Mrd. $ |
| 1.222 | MSA Safety Inc US5534981064 | 369 | 2,8 Mrd. $ |
| 1.223 | Liberty Energy Inc US53115L1044 | 369 | 2,7 Mrd. $ |
| 1.224 | Lincoln National Corp US5341871094 | 369 | 2,5 Mrd. $ |
| 1.225 | Covista Inc US00737L1035 | 369 | 2,2 Mrd. $ |
| 1.226 | Cabot Corp US1270551013 | 369 | 2 Mrd. $ |
| 1.227 | SKF AB SE0000108227 | 368 | 17 Mrd. $ |
| 1.228 | Sumitomo Electric Industries Ltd. JP3407400005 | 368 | 6,3 Mrd. $ |
| 1.229 | Flutter Entertainment PLC IE00BWT6H894 | 368 | 5,5 Mrd. $ |
| 1.230 | Mitsubishi Estate Co Ltd JP3899600005 | 368 | 5,4 Mrd. $ |
| 1.231 | SkyWest Inc US8308791024 | 368 | 2 Mrd. $ |
| 1.232 | Science Applications International Corp US8086251076 | 368 | 1,8 Mrd. $ |
| 1.233 | Nutrien Ltd CA67077M1086 | 367 | 9 Mrd. $ |
| 1.234 | Panasonic Holdings Corp. JP3866800000 | 367 | 7 Mrd. $ |
| 1.235 | Cogna Educacao SA BRCOGNACNOR2 | 367 | 811,7 Mio. $ |
| 1.236 | Kering SA FR0000121485 | 366 | 5,6 Mrd. $ |
| 1.237 | Bentley Systems Inc US08265T2087 | 366 | 5,2 Mrd. $ |
| 1.238 | GXO Logistics Inc US36262G1013 | 366 | 3 Mrd. $ |
| 1.239 | PVH Corp US6936561009 | 366 | 2,4 Mrd. $ |
| 1.240 | Merck KGaA DE0006599905 | 365 | 4,7 Mrd. $ |
| 1.241 | Hyatt Hotels Corp US4485791028 | 365 | 4 Mrd. $ |
| 1.242 | Commerce Bancshares Inc/MO US2005251036 | 365 | 2,5 Mrd. $ |
| 1.243 | MP Materials Corp US5533681012 | 365 | 2,3 Mrd. $ |
| 1.244 | Cargurus Inc US1417881091 | 365 | 1,3 Mrd. $ |
| 1.245 | Genmab A/S DK0010272202 | 364 | 4,6 Mrd. $ |
| 1.246 | Wayfair Inc US94419L1017 | 364 | 3,7 Mrd. $ |
| 1.247 | Enpro Inc US29355X1072 | 364 | 3,5 Mrd. $ |
| 1.248 | Arcosa Inc US0396531008 | 364 | 3,2 Mrd. $ |
| 1.249 | Ligand Pharmaceuticals Inc US53220K5048 | 364 | 2,5 Mrd. $ |
| 1.250 | Valvoline Inc US92047W1018 | 364 | 2,1 Mrd. $ |
| 1.251 | Waystar Holding Corp US9467841055 | 363 | 1,8 Mrd. $ |
| 1.252 | Paramount Skydance Corp. US69932A2042 | 363 | 1 Mrd. $ |
| 1.253 | QBE Insurance Group Ltd. AU000000QBE9 | 362 | 3,5 Mrd. $ |
| 1.254 | Siemens Healthineers AG DE000SHL1006 | 362 | 2,8 Mrd. $ |
| 1.255 | Radian Group Inc US7502361014 | 362 | 2,2 Mrd. $ |
| 1.256 | WillScot Holdings Corp US9713781048 | 362 | 2,1 Mrd. $ |
| 1.257 | Universal Display Corp US91347P1057 | 362 | 1,7 Mrd. $ |
| 1.258 | Isa Energia Brasil sa BRISAEACNPR9 | 362 | 1,3 Mrd. $ |
| 1.259 | Alfa Laval AB SE0000695876 | 361 | 33 Mrd. $ |
| 1.260 | Pernod Ricard SA FR0000120693 | 361 | 5 Mrd. $ |
| 1.261 | Suzuki Motor Corp JP3397200001 | 361 | 3,9 Mrd. $ |
| 1.262 | JBT Marel Corp US4778391049 | 361 | 3,3 Mrd. $ |
| 1.263 | Essential Utilities Inc US29670G1022 | 361 | 3,3 Mrd. $ |
| 1.264 | Plexus Corp US7291321005 | 361 | 3,1 Mrd. $ |
| 1.265 | Dutch Bros Inc US26701L1008 | 361 | 3 Mrd. $ |
| 1.266 | Patterson-UTI Energy Inc US7034811015 | 361 | 2,3 Mrd. $ |
| 1.267 | Signet Jewelers Ltd BMG812761002 | 361 | 2,1 Mrd. $ |
| 1.268 | Alaska Air Group Inc US0116591092 | 361 | 2 Mrd. $ |
| 1.269 | Tidewater Inc US88642R1095 | 360 | 2,3 Mrd. $ |
| 1.270 | Life Time Group Holdings Inc US53190C1027 | 360 | 2,2 Mrd. $ |
| 1.271 | Marzetti Company/The US5138471033 | 360 | 1,3 Mrd. $ |
| 1.272 | PDD Holdings Inc US7223041028 | 359 | 9,9 Mrd. $ |
| 1.273 | FinecoBank Banca Fineco SpA IT0000072170 | 359 | 4,2 Mrd. $ |
| 1.274 | Silicon Laboratories Inc US8269191024 | 359 | 2,8 Mrd. $ |
| 1.275 | Stride Inc US86333M1080 | 359 | 2,7 Mrd. $ |
| 1.276 | Sage Group PLC/The GB00B8C3BL03 | 359 | 2,2 Mrd. $ |
| 1.277 | Tanger Inc US8754651060 | 359 | 2,1 Mrd. $ |
| 1.278 | Bread Financial Holdings Inc US0185811082 | 359 | 1,6 Mrd. $ |
| 1.279 | Kingfisher PLC GB0033195214 | 359 | 1,5 Mrd. $ |
| 1.280 | Catalyst Pharmaceuticals Inc US14888U1016 | 359 | 1,4 Mrd. $ |
| 1.281 | SoFi Technologies Inc US83406F1021 | 358 | 3,5 Mrd. $ |
| 1.282 | FTI Consulting Inc US3029411093 | 358 | 2,6 Mrd. $ |
| 1.283 | Patrick Industries Inc US7033431039 | 358 | 2,3 Mrd. $ |
| 1.284 | Erie Indemnity Co US29530P1021 | 358 | 2 Mrd. $ |
| 1.285 | Karman Holdings Inc US4859241048 | 357 | 3,9 Mrd. $ |
| 1.286 | Champion Homes Inc US8308301055 | 357 | 2,4 Mrd. $ |
| 1.287 | Mueller Water Products Inc US6247581084 | 357 | 2,4 Mrd. $ |
| 1.288 | Sonoco Products Co US8354951027 | 357 | 2,2 Mrd. $ |
| 1.289 | Chewy Inc US16679L1098 | 357 | 2,1 Mrd. $ |
| 1.290 | PBF Energy Inc US69318G1067 | 357 | 1,8 Mrd. $ |
| 1.291 | Sika AG CH0418792922 | 356 | 5,5 Mrd. $ |
| 1.292 | Glacier Bancorp Inc US37637Q1058 | 356 | 2,6 Mrd. $ |
| 1.293 | Clear Secure Inc US18467V1098 | 356 | 2,1 Mrd. $ |
| 1.294 | Enova International Inc US29357K1034 | 356 | 1,7 Mrd. $ |
| 1.295 | Supernus Pharmaceuticals Inc US8684591089 | 356 | 1,3 Mrd. $ |
| 1.296 | Odontoprev SA BRODPVACNOR4 | 356 | 811,3 Mio. $ |
| 1.297 | Credit Agricole SA FR0000045072 | 355 | 3,1 Mrd. $ |
| 1.298 | Kodiak Gas Services Inc US50012A1088 | 355 | 2,7 Mrd. $ |
| 1.299 | Academy Sports & Outdoors Inc US00402L1070 | 355 | 2,3 Mrd. $ |
| 1.300 | Meritage Homes Corp US59001A1025 | 355 | 2,2 Mrd. $ |