Companies
Ranked by what the funds in this base hold of them, converted at European Central Bank rates, on the date of each filing.
28,459 in total
| Rank | Company | Holders | Value |
|---|---|---|---|
| 9,901 | S4 Capital PLC GB00BFZZM640 · United Kingdom | 18 | 36.5M $ |
| 9,902 | Sunway Healthcare Holdings bhd MYL5555OO007 · Malaysia | 34 | 36.6M $ |
| 9,903 | NEOGRID ON BRNGRDACNOR3 · Brazil | 13 | 36.6M $ |
| 9,904 | Electromed Inc US2854091087 · United States | 127 | 36.2M $ |
| 9,905 | Foran Mining Corp CA3449112018 · Canada | 22 | 36.1M $ |
| 9,906 | DoubleLine Mortgage ETF US25861R4020 · United States | 3 | 35.9M $ |
| 9,907 | Global Power Synergy PCL TH6488010013 · Thailand · 3 listed lines | 42 | 36.6M $ |
| 9,908 | IRPC PCL TH0471010Y12 · Thailand · 3 listed lines | 38 | 36.4M $ |
| 9,909 | Thaifoods Group PCL TH6717010R11 · Thailand | 17 | 36.3M $ |
| 9,910 | New Economy Fund/The US6438227786 · United States | 1 | 35.8M $ |
| 9,911 | Praj Industries Ltd INE074A01025 · India | 34 | 36.5M $ |
| 9,912 | Kyoei Steel Ltd JP3247400009 · Japan | 58 | 36.4M $ |
| 9,913 | Lake Materials Co Ltd KR7281740001 · South Korea | 30 | 36.4M $ |
| 9,914 | InfuSystem Holdings Inc US45685K1025 · United States | 64 | 36.2M $ |
| 9,915 | Inseego Corp US45782B3024 · United States | 102 | 36M $ |
| 9,916 | Diagnostyka SA PLDGNST00012 · Poland | 34 | 36.2M $ |
| 9,917 | Finnair Oyj FI4000567029 · Finland | 40 | 36.4M $ |
| 9,918 | SPDR INDEX SHARES FUNDS US78463X8487 · United States · 2 listed lines | 3 | 36.3M $ |
| 9,919 | Thaifoods Group PCL TH6717010016 · Thailand | 17 | 36.3M $ |
| 9,920 | Shin-Etsu Polymer Co Ltd JP3371600002 · Japan | 50 | 36.2M $ |
| 9,921 | DKS Co Ltd JP3475000000 · Japan | 34 | 36.3M $ |
| 9,922 | TXO Partners LP US87313P1030 · United States | 13 | 35.9M $ |
| 9,923 | Polyus PJSC US73181M1172 · United Kingdom | 9 | 36.3M $ |
| 9,924 | Mirai Corp JP3048370005 · Japan | 35 | 36.2M $ |
| 9,925 | BLCKRCK SYST MULTI-STR-INST US09260C3079 · United States | 2 | 36.2M $ |
| 9,926 | Interise Trust INE790Z07061 · India | 2 | 35.6M $ |
| 9,927 | Silver Mines Ltd AU000000SVL8 · Australia | 18 | 35.9M $ |
| 9,928 | Emaar Economic City SA000A0KDVM8 · Saudi Arabia | 38 | 36.3M $ |
| 9,929 | SCG PACKAGING PCL TH0098010Y13 · Thailand · 3 listed lines | 40 | 36.2M $ |
| 9,930 | Sedemac Mechatronics Ltd. INE00XB01019 · India | 4 | 35.5M $ |
| 9,931 | RFHIC Corp KR7218410009 · South Korea | 18 | 36.1M $ |
| 9,932 | Organogenesis Holdings Inc US68621F1021 · United States | 145 | 36M $ |
| 9,933 | Guangdong Dtech Technology Co Ltd CNE100005WS0 · China | 11 | 36.1M $ |
| 9,934 | Quadient SA FR0000120560 · France | 54 | 36.1M $ |
| 9,935 | iShares iBonds Dec 2034 Term C US46438G6531 · United States | 1 | 36.1M $ |
| 9,936 | LFBANK Float 05/12/36 SE0013362506 · Sweden | 1 | 35.5M $ |
| 9,937 | Perma-Pipe International Holdings Inc US7141671039 · United States | 58 | 36M $ |
| 9,938 | Noevir Holdings Co Ltd JP3760450001 · Japan | 52 | 35.9M $ |
| 9,939 | MeiraGTx Holdings plc KYG596651029 · Cayman Islands | 99 | 35.7M $ |
| 9,940 | Time Technoplast Ltd INE508G01029 · India | 39 | 36.1M $ |
| 9,941 | Viant Technology Inc US92557A1016 · United States | 121 | 35.7M $ |
| 9,942 | Koa Corp JP3283400004 · Japan | 48 | 36.1M $ |
| 9,943 | Tortoise Capital Series Trust US8909305067 · United States · 2 listed lines | 3 | 35.7M $ |
| 9,944 | Isrotel Ltd IL0010809858 · Israel | 24 | 35.9M $ |
| 9,945 | Investment Company of America/ US4613087778 · United States | 1 | 35.4M $ |
| 9,946 | Simplify Exchange Traded Funds US82889N6994 · United States | 5 | 35.6M $ |
| 9,947 | National Bank for Agriculture and Rural Development INE261F08EA6 · India | 3 | 35.3M $ |
| 9,948 | REDWOOD PRIVATE REAL ESTATE DEBT FUND US7580671029 · United States | 4 | 36M $ |
| 9,949 | Inner Mongolia Junzheng Energy & Chemical Industry Group Co Ltd CNE1000010F8 · China | 55 | 36.1M $ |
| 9,950 | J Jill Inc US46620W2017 · United States | 118 | 35.7M $ |
| 9,951 | CLINICA BAVIERA SA ES0119037010 · Spain | 10 | 36.1M $ |
| 9,952 | Schwab International Dividend Equity ETF US8085246721 · United States | 3 | 35.3M $ |
| 9,953 | Empyrean Technology Co Ltd CNE100005GY1 · China | 47 | 36.1M $ |
| 9,954 | Track & Field SA Co BRTFCOACNPR8 · Brazil | 186 | 36M $ |
| 9,955 | GVS SpA IT0005411209 · Italy | 36 | 35.9M $ |
| 9,956 | Surge Energy Inc CA86880Y8779 · Canada | 26 | 36.1M $ |
| 9,957 | TARGET HEALTHCARE REIT PLC GB00BJGTLF51 · United Kingdom | 32 | 35.9M $ |
| 9,958 | Protara Therapeutics Inc US74365U1079 · United States | 99 | 35.5M $ |
| 9,959 | Nxera Pharma Co Ltd JP3431300007 · Japan | 40 | 35.8M $ |
| 9,960 | iShares MSCI Japan Value ETF US46435U3749 · United States | 3 | 35.9M $ |
| 9,961 | DoubleLine Income Solutions Fund US2586221093 · United States | 5 | 35.6M $ |
| 9,962 | Shinsung Delta Tech Co Ltd KR7065350001 · South Korea | 29 | 35.8M $ |
| 9,963 | 7.43% CGL 2076 IN0020250117 · India | 2 | 35.2M $ |
| 9,964 | Anadolu Anonim Turk Sigorta Sirketi TRAANSGR91O1 · Türkiye | 49 | 35.9M $ |
| 9,965 | Pavilion Real Estate Investment Trust MYL5212TO004 · Malaysia | 17 | 35.8M $ |
| 9,966 | Keel Infrastructure Corp US4869171078 · United States | 21 | 35.8M $ |
| 9,967 | Nichidenbo Corp TW0003090007 · Taiwan | 30 | 35.7M $ |
| 9,968 | US78413L7799 US78413L7799 · United States | 5 | 35.2M $ |
| 9,969 | CJ ENM Co Ltd KR7035760008 · South Korea | 48 | 35.8M $ |
| 9,970 | TomTom NV NL0013332471 · Netherlands | 40 | 35.5M $ |
| 9,971 | Shinnihon Corp JP3380300008 · Japan | 39 | 35.7M $ |
| 9,972 | TAT Technologies Ltd IL0010827264 · Israel | 41 | 35.3M $ |
| 9,973 | SY Holdings Group Ltd KYG8116R1074 · Cayman Islands | 28 | 35.7M $ |
| 9,974 | Eastnine AB SE0022050183 · Sweden | 43 | 35.2M $ |
| 9,975 | Transamerica S&P 500 Index VP US89356L4941 · United States | 1 | 35.1M $ |
| 9,976 | Onward Holdings Co Ltd JP3203500008 · Japan | 50 | 35.6M $ |
| 9,977 | Better Home & Finance Holding Co US08774B5084 · United States | 88 | 35.3M $ |
| 9,978 | Franklin Financial Services Corp US3535251082 · United States | 106 | 35.3M $ |
| 9,979 | Hangzhou Robam Appliances Co Ltd CNE100000WY9 · China | 35 | 35.6M $ |
| 9,980 | ISHARES CORE 1-5 YEAR USD BO US46432F8591 · United States | 1 | 36M $ |
| 9,981 | Airoha Technology Corp TW0006526007 · Taiwan | 28 | 35.7M $ |
| 9,982 | Foster Electric Co Ltd JP3802800007 · Japan | 32 | 35.5M $ |
| 9,983 | L1 Group Ltd AU0000423501 · Australia | 41 | 35.6M $ |
| 9,984 | TIMEE INC JP3449040009 · Japan | 28 | 35.4M $ |
| 9,985 | FVCBankcorp Inc US36120Q1013 · United States | 109 | 35.2M $ |
| 9,986 | Information Services Group Inc US45675Y1047 · United States | 139 | 35.3M $ |
| 9,987 | ISHARES US ETF TRUST US46431W8534 · United States · 2 listed lines | 5 | 35.5M $ |
| 9,988 | Mitra Keluarga Karyasehat Tbk PT ID1000135700 · Indonesia | 35 | 35.5M $ |
| 9,989 | Amplify Energy Corp US03212B1035 · United States | 75 | 35.4M $ |
| 9,990 | Azul SA US05501U5020 · Brazil · 6 listed lines | 18 | 35M $ |
| 9,991 | Renta 4 Banco, S.A. ES0173358039 · Spain | 16 | 35.7M $ |
| 9,992 | Medincell SA FR0004065605 · France | 20 | 35.1M $ |
| 9,993 | ASKUL Corp JP3119920001 · Japan | 56 | 35.4M $ |
| 9,994 | Coinshares Jersey Ltd GB00BNRRFY34 · Jersey | 2 | 35.5M $ |
| 9,995 | Indocement Tunggal Prakarsa Tbk PT ID1000061302 · Indonesia | 44 | 35.4M $ |
| 9,996 | Vitasoy International Holdings Ltd HK0345001611 · Hong Kong SAR China | 51 | 35.4M $ |
| 9,997 | COSCO SHIPPING Development Co Ltd CNE100000536 · Hong Kong SAR China · 2 listed lines | 28 | 35.5M $ |
| 9,998 | SEPLAT Energy PLC NGSEPLAT0008 · Nigeria | 4 | 35.2M $ |
| 9,999 | Voyager Therapeutics Inc US92915B1061 · United States | 130 | 35.2M $ |
| 10,000 | Nemak SAB de CV MX01NE000001 · Mexico | 35 | 35.4M $ |