Die am breitesten gehaltenen Gesellschaften
Sortiert nach der Anzahl der Fonds, die eine Position melden.
30.697 insgesamt
| Rang | Gesellschaft | Halter | Wert |
|---|---|---|---|
| 4.901 | Nestle Malaysia Bhd MYL4707OO005 | 94 | 252,6 Mio. $ |
| 4.902 | Barito Pacific Tbk PT ID1000085707 | 94 | 233,2 Mio. $ |
| 4.903 | Wanhua Chemical Group Co Ltd CNE0000016J9 | 94 | 233,2 Mio. $ |
| 4.904 | Genscript Biotech Corp KYG3825B1059 | 94 | 214,6 Mio. $ |
| 4.905 | PLDT Inc PHY7072Q1032 | 94 | 208,5 Mio. $ |
| 4.906 | Yamada Holdings Co Ltd JP3939000000 | 94 | 170,9 Mio. $ |
| 4.907 | Zhejiang NHU Co Ltd CNE000001J84 | 94 | 143,8 Mio. $ |
| 4.908 | Global Water Resources Inc US3794631024 | 94 | 113,6 Mio. $ |
| 4.909 | First Foundation Inc US32026V1044 | 94 | 67,9 Mio. $ |
| 4.910 | Cia de Ferro Ligas da Bahia FERBASA BRFESAACNPR5 | 94 | 59,6 Mio. $ |
| 4.911 | Crexendo Inc US2265521078 | 94 | 18,5 Mio. $ |
| 4.912 | Mammoth Energy Services Inc US56155L1089 | 94 | 9 Mio. $ |
| 4.913 | Tata Power Co Ltd/The INE245A01021 | 93 | 6,8 Mrd. $ |
| 4.914 | SBI Cards & Payment Services Ltd INE018E01016 | 93 | 1,6 Mrd. $ |
| 4.915 | AIXTRON SE DE000A0WMPJ6 | 93 | 807,3 Mio. $ |
| 4.916 | Dr. Ing. h.c. F. Porsche Aktiengesellschaft DE000PAG9113 | 93 | 654,3 Mio. $ |
| 4.917 | Vault Minerals Ltd AU0000355588 | 93 | 577,9 Mio. $ |
| 4.918 | Bupa Arabia for Cooperative Insurance Co SA1210540914 | 93 | 540 Mio. $ |
| 4.919 | SILERGY CORP KYG8190F1028 | 93 | 531,8 Mio. $ |
| 4.920 | Jeol Ltd JP3735000006 | 93 | 438,3 Mio. $ |
| 4.921 | Melexis NV BE0165385973 | 93 | 425,7 Mio. $ |
| 4.922 | Petronas Gas Bhd MYL6033OO004 | 93 | 376,1 Mio. $ |
| 4.923 | PRADA SpA IT0003874101 | 93 | 369,5 Mio. $ |
| 4.924 | Cosmo Energy Holdings Co Ltd JP3298000005 | 93 | 324,1 Mio. $ |
| 4.925 | Bank Millennium SA PLBIG0000016 | 93 | 320,8 Mio. $ |
| 4.926 | Dar Al Arkan Real Estate Development Co SA11U0S23612 | 93 | 317,3 Mio. $ |
| 4.927 | Foshan Haitian Flavouring & Food Co Ltd CNE100001SL2 | 93 | 306,7 Mio. $ |
| 4.928 | Ship Healthcare Holdings Inc JP3274150006 | 93 | 281,5 Mio. $ |
| 4.929 | BIPROGY Inc JP3754200008 | 93 | 231,2 Mio. $ |
| 4.930 | Shengyi Technology Co Ltd CNE000000XL5 | 93 | 214,5 Mio. $ |
| 4.931 | Kumba Iron Ore Ltd ZAE000085346 | 93 | 178 Mio. $ |
| 4.932 | Oppenheimer Holdings Inc US6837971042 | 93 | 165,4 Mio. $ |
| 4.933 | OmniVision Integrated Circuits Group Inc CNE100002XM8 | 93 | 164 Mio. $ |
| 4.934 | Cadiz Inc US1275372076 | 93 | 36,3 Mio. $ |
| 4.935 | BRT Apartments Corp US0556453035 | 93 | 25 Mio. $ |
| 4.936 | SB Financial Group Inc US78408D1054 | 93 | 23,3 Mio. $ |
| 4.937 | Pioneer Bancorp Inc/NY US7235611065 | 93 | 22,7 Mio. $ |
| 4.938 | First Capital Inc US31942S1042 | 93 | 21,5 Mio. $ |
| 4.939 | Vanguard FTSE Developed Markets ETF US9219438580 | 92 | 2,8 Mrd. $ |
| 4.940 | Sdiptech AB SE0003756758 | 92 | 2 Mrd. $ |
| 4.941 | Mandatum Oyj FI4000552526 | 92 | 1,2 Mrd. $ |
| 4.942 | Dubai Electricity & Water Authority PJSC AED001801011 | 92 | 567,9 Mio. $ |
| 4.943 | Nippon Electric Glass Co Ltd JP3733400000 | 92 | 466,2 Mio. $ |
| 4.944 | Boozt AB SE0009888738 | 92 | 460,8 Mio. $ |
| 4.945 | Koninklijke BAM Groep NV NL0000337319 | 92 | 423,6 Mio. $ |
| 4.946 | Eoptolink Technology Inc Ltd CNE100002615 | 92 | 408,2 Mio. $ |
| 4.947 | GMO Payment Gateway Inc JP3385890003 | 92 | 308,7 Mio. $ |
| 4.948 | Amplifon SpA IT0004056880 | 92 | 291,3 Mio. $ |
| 4.949 | Mabuchi Motor Co Ltd JP3870000001 | 92 | 237,2 Mio. $ |
| 4.950 | Saudi Investment Bank/The SA0007879063 | 92 | 214,6 Mio. $ |
| 4.951 | Meitu Inc KYG5966D1051 | 92 | 209,2 Mio. $ |
| 4.952 | China Pacific Insurance Group Co Ltd CNE1000008M8 | 92 | 198,4 Mio. $ |
| 4.953 | YTL Corp Bhd MYL4677OO000 | 92 | 185,8 Mio. $ |
| 4.954 | Giant Biogene Holding Co ltd KYG3887G1091 | 92 | 153,8 Mio. $ |
| 4.955 | Rezolve AI PLC GB00BQH8G337 | 92 | 45,2 Mio. $ |
| 4.956 | Outdoor Holding Co. US00175J1079 | 92 | 38,4 Mio. $ |
| 4.957 | Citizens Inc/TX US1747401008 | 92 | 33,4 Mio. $ |
| 4.958 | Eledon Pharmaceuticals Inc US28617K1016 | 92 | 30 Mio. $ |
| 4.959 | Palladyne AI Corp US80359A2050 | 92 | 27,6 Mio. $ |
| 4.960 | Xponential Fitness Inc US98422X1019 | 92 | 26,6 Mio. $ |
| 4.961 | CB Financial Services Inc US12479G1013 | 92 | 24,3 Mio. $ |
| 4.962 | AIRO Group Holdings Inc US0094221068 | 92 | 23,6 Mio. $ |
| 4.963 | Eagle Financial Services Inc US26951R1041 | 92 | 20,7 Mio. $ |
| 4.964 | NL Industries Inc US6291564077 | 92 | 18,1 Mio. $ |
| 4.965 | Finward Bancorp US31812F1093 | 92 | 16,2 Mio. $ |
| 4.966 | Hanover Bancorp Inc US4107091096 | 92 | 14,5 Mio. $ |
| 4.967 | Cardiff Oncology Inc US14147L1089 | 92 | 13,8 Mio. $ |
| 4.968 | Biote Corp US0906831039 | 92 | 6,6 Mio. $ |
| 4.969 | Fidelity Salem Street Trust US31635V6204 | 91 | 17,2 Mrd. $ |
| 4.970 | Mankind Pharma Ltd INE634S01028 | 91 | 15,7 Mrd. $ |
| 4.971 | AQ Group AB SE0022062196 | 91 | 2,3 Mrd. $ |
| 4.972 | Kinnevik AB SE0022060521 | 91 | 1,7 Mrd. $ |
| 4.973 | VBG Group AB SE0000115107 | 91 | 1,4 Mrd. $ |
| 4.974 | Huhtamaki Oyj FI0009000459 | 91 | 1,3 Mrd. $ |
| 4.975 | Advanced Info Service PCL TH0268010Z11 | 91 | 1,3 Mrd. $ |
| 4.976 | Scatec ASA NO0010715139 | 91 | 1,1 Mrd. $ |
| 4.977 | Siemens Energy India Ltd INE1NPP01017 | 91 | 920,9 Mio. $ |
| 4.978 | Winbond Electronics Corp TW0002344009 | 91 | 664,7 Mio. $ |
| 4.979 | Triple Flag Precious Metals Corp CA89679M1041 | 91 | 640,5 Mio. $ |
| 4.980 | United Integrated Services Co Ltd TW0002404001 | 91 | 635,6 Mio. $ |
| 4.981 | Pan African Resources PLC GB0004300496 | 91 | 521,6 Mio. $ |
| 4.982 | SK Innovation Co Ltd KR7096770003 | 91 | 509,9 Mio. $ |
| 4.983 | HLB Inc KR7028300002 | 91 | 493,5 Mio. $ |
| 4.984 | LANXESS AG DE0005470405 | 91 | 484,1 Mio. $ |
| 4.985 | Pluxee NV NL0015001W49 | 91 | 450,9 Mio. $ |
| 4.986 | Plaza SA CL0002456714 | 91 | 449,2 Mio. $ |
| 4.987 | Sartorius AG DE0007165631 | 91 | 440,6 Mio. $ |
| 4.988 | ATALAYA MINING COPPER SA CY0106002112 | 91 | 358,6 Mio. $ |
| 4.989 | Bendigo & Adelaide Bank Ltd AU000000BEN6 | 91 | 357,7 Mio. $ |
| 4.990 | CRRC Corp Ltd CNE100000BG0 | 91 | 336,5 Mio. $ |
| 4.991 | Far East Horizon Ltd HK0000077468 | 91 | 326,6 Mio. $ |
| 4.992 | CMOC Group Ltd CNE100001NR0 | 91 | 298,4 Mio. $ |
| 4.993 | Safestore Holdings PLC GB00B1N7Z094 | 91 | 253,9 Mio. $ |
| 4.994 | Coca-Cola Bottlers Japan Holdings Inc JP3293200006 | 91 | 249 Mio. $ |
| 4.995 | Marui Group Co Ltd JP3870400003 | 91 | 237,6 Mio. $ |
| 4.996 | Zeon Corp JP3725400000 | 91 | 206,5 Mio. $ |
| 4.997 | LONGi Green Energy Technology Co Ltd CNE100001FR6 | 91 | 193,9 Mio. $ |
| 4.998 | Hysan Development Co Ltd HK0014000126 | 91 | 193,1 Mio. $ |
| 4.999 | Perusahaan Gas Negara Persero Tbk PT ID1000111602 | 91 | 169,2 Mio. $ |
| 5.000 | MR DIY Group M Bhd MYL5296OO008 | 91 | 155 Mio. $ |