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 |
|---|---|---|---|
| 10,001 | Starhill Global REIT SG1S18926810 · Singapore | 23 | 35.3M $ |
| 10,002 | Loncin Motor Co Ltd CNE100001JP2 · China | 32 | 35.5M $ |
| 10,003 | Bank of Changsha Co Ltd CNE100003F50 · China | 63 | 35.3M $ |
| 10,004 | EPL Ltd INE255A01020 · India | 41 | 35.2M $ |
| 10,005 | Ashiana Housing Ltd INE365D01021 · India | 17 | 34.8M $ |
| 10,006 | 3BB Internet Infrastructure Fund TH6247010015 · Thailand | 11 | 35.3M $ |
| 10,007 | CAPITAL SOUTHWEST CORP US1405011073 · United States | 12 | 35M $ |
| 10,008 | Pacer Swan SOS Conservative Ju US69374H5357 · United States | 1 | 35.4M $ |
| 10,009 | Gushengtang Holdings Ltd KYG4212K1040 · Hong Kong SAR China | 29 | 35.4M $ |
| 10,010 | Summit Digitel Infrastructure Pvt. Ltd. INE507T07153 · India | 1 | 34.7M $ |
| 10,011 | Naturecell Co Ltd KR7007390008 · South Korea | 18 | 35.3M $ |
| 10,012 | Superior Group of Cos Inc US8683581024 · United States | 131 | 35.2M $ |
| 10,013 | Exzeo Group Inc US30234F1012 · United States | 58 | 35M $ |
| 10,014 | PWR Holdings Ltd AU000000PWH0 · Australia | 39 | 35.2M $ |
| 10,015 | Oncology Institute Inc/The US68236X1000 · United States | 90 | 34.9M $ |
| 10,016 | Deep Source Holdings Ltd BMG8800F1876 · Hong Kong SAR China | 42 | 35.2M $ |
| 10,017 | Yulon Motor Co Ltd TW0002201001 · Taiwan | 46 | 35.3M $ |
| 10,018 | Changjiang Securities Co Ltd CNE000000SH3 · China | 57 | 35.3M $ |
| 10,019 | Alamtri Minerals Indonesia Tbk PT ID1000165608 · Indonesia | 33 | 35.2M $ |
| 10,020 | ON24 Inc US68339B1044 · United States | 78 | 34.8M $ |
| 10,021 | Taiwan Paiho Ltd TW0009938001 · Taiwan | 38 | 35.2M $ |
| 10,022 | National Bankshares Inc US6348651091 · United States | 110 | 34.9M $ |
| 10,023 | DoubleUGames Co Ltd KR7192080000 · South Korea | 36 | 35.1M $ |
| 10,024 | Sinopec Kantons Holdings Ltd BMG8165U1009 · Bermuda | 25 | 35.3M $ |
| 10,025 | Perma-Fix Environmental Services Inc US7141572039 · United States | 115 | 34.8M $ |
| 10,026 | Showa Sangyo Co Ltd JP3366400004 · Japan | 51 | 35.1M $ |
| 10,027 | Five Point Holdings LLC US33833Q1067 · United States | 38 | 35.1M $ |
| 10,028 | Altri SGPS SA PTALT0AE0002 · Portugal | 49 | 35M $ |
| 10,029 | HannStar Display Corp TW0006116007 · Taiwan | 28 | 35.2M $ |
| 10,030 | Marksans Pharma Ltd INE750C01026 · India | 34 | 35.1M $ |
| 10,031 | NYLI Merger Arbitrage ETF US45409B8000 · United States · 2 listed lines | 4 | 35M $ |
| 10,032 | FIRST TRUST EXCHANGE-TRADED ALPHADEX FUND II US33737J1741 · United States | 4 | 34.7M $ |
| 10,033 | Skyverse Technology Co Ltd CNE100005ZD5 · China | 28 | 35.1M $ |
| 10,034 | Hochiki Corp JP3837400005 · Japan | 36 | 35M $ |
| 10,035 | Shochiku Co Ltd JP3362800009 · Japan | 29 | 34.9M $ |
| 10,036 | SBS Holdings Inc JP3163500006 · Japan | 48 | 35M $ |
| 10,037 | Cheng Loong Corp TW0001904001 · Taiwan | 35 | 35.1M $ |
| 10,038 | Obsidian Energy Ltd CA6744822033 · Canada | 28 | 35.1M $ |
| 10,039 | Metro Brands Ltd INE317I01021 · India | 22 | 35M $ |
| 10,040 | Maanshan Iron & Steel Co Ltd CNE1000003R8 · Hong Kong SAR China · 2 listed lines | 39 | 35M $ |
| 10,041 | Sasa Polyester Sanayi AS TRASASAW91E4 · Türkiye | 48 | 35M $ |
| 10,042 | Bank of Saga Ltd/The JP3315200000 · Japan | 39 | 34.9M $ |
| 10,043 | G-Tekt Corp JP3236750000 · Japan | 45 | 34.9M $ |
| 10,044 | Restar Corp JP3944360001 · Japan | 40 | 34.9M $ |
| 10,045 | Shenzhen Salubris Pharmaceuticals Co Ltd CNE100000FW8 · China | 53 | 34.9M $ |
| 10,046 | Gas Malaysia Bhd MYL5209OO001 · Malaysia | 26 | 34.8M $ |
| 10,047 | KRY INTERNATIONAL AB SE0027099391 · Sweden | 12 | 34.4M $ |
| 10,048 | Iochpe Maxion SA BRMYPKACNOR7 · Brazil | 163 | 34.9M $ |
| 10,049 | Blue Ridge Bankshares Inc US0958251052 · United States | 102 | 34.5M $ |
| 10,050 | Taiwan Sakura Corp TW0009911008 · Taiwan | 37 | 34.6M $ |
| 10,051 | Organizacion Soriana SAB de CV MXP8728U1671 · Mexico | 17 | 34.8M $ |
| 10,052 | Spartan Delta Corp CA84678A5089 · Canada | 30 | 35M $ |
| 10,053 | Mutares SE & Co KGaA DE000A2NB650 · Germany | 50 | 34.9M $ |
| 10,054 | Stoneweg Europe Stapled Trust SGXC11267561 · Singapore | 24 | 34.7M $ |
| 10,055 | TCL Zhonghuan Renewable Energy Technology Co Ltd CNE1000000B8 · China | 67 | 34.8M $ |
| 10,056 | FII BTLG BRBTLGCTF000 · Brazil | 4 | 34.8M $ |
| 10,057 | SOSiLA Logistics REIT Inc JP3048960003 · Japan | 38 | 34.7M $ |
| 10,058 | Mindspace Business Parks Reit INE0CCU07132 · India | 2 | 34.1M $ |
| 10,059 | VanEck ETF Trust US92189H6071 · United States | 9 | 34.8M $ |
| 10,060 | HDB Financial Services Ltd. INE756I07FR2 · India | 2 | 34.1M $ |
| 10,061 | Calvert Mortgage Access Fund US1315822312 · United States | 3 | 34.1M $ |
| 10,062 | Thai Life Insurance PCL THA848010015 · Thailand · 3 listed lines | 41 | 34.6M $ |
| 10,063 | Small Industries Development Bank of India INE556F08KI9 · India | 1 | 34.1M $ |
| 10,064 | EHang Holdings Ltd US26853E1029 · Cayman Islands | 24 | 34.5M $ |
| 10,065 | Sunshine Lake Pharma Co Ltd CNE1000070M8 · Hong Kong SAR China | 32 | 34.8M $ |
| 10,066 | Power Finance Corporation Ltd. INE134E08LK2 · India | 1 | 34.1M $ |
| 10,067 | Oak Valley Bancorp US6718071052 · United States | 105 | 34.3M $ |
| 10,068 | Virtus Opportunities Trust US92828W2706 · United States · 4 listed lines | 3 | 34.3M $ |
| 10,069 | JMDC Inc JP3386690006 · Japan | 40 | 34.5M $ |
| 10,070 | Sakai Chemical Industry Co Ltd JP3312800000 · Japan | 41 | 34.6M $ |
| 10,071 | Cromwell Property Group AU000000CMW8 · Australia | 34 | 34.6M $ |
| 10,072 | BANCO BMG ON N1 BRBMGBACNOR3 · Brazil | 1 | 34.6M $ |
| 10,073 | Northwestern Mutual Series Fund, Inc. - Mid Cap Value Portfolio US6681407838 · United States | 5 | 34M $ |
| 10,074 | Seikoh Giken Co Ltd JP3414870000 · Japan | 14 | 34.4M $ |
| 10,075 | MoonLake Immunotherapeutics KY61559X1045 · Cayman Islands | 33 | 34.3M $ |
| 10,076 | CGN New Energy Holdings Co Ltd BMG202981087 · Bermuda | 29 | 34.6M $ |
| 10,077 | Kwang Dong Pharmaceutical Co Ltd KR7009290008 · South Korea | 21 | 34.5M $ |
| 10,078 | Shanghai Baosight Software Co Ltd CNE000000GG0 · China | 21 | 34.5M $ |
| 10,079 | Invesco DB Base Metals Fund US46140H7008 · United States | 5 | 34.7M $ |
| 10,080 | Bank of Kaohsiung Co Ltd TW0002836004 · Taiwan | 36 | 34.6M $ |
| 10,081 | Sung Kwang Bend Co Ltd KR7014620009 · South Korea | 36 | 34.4M $ |
| 10,082 | Immersion Corp US4525211078 · United States | 122 | 34.1M $ |
| 10,083 | Melco International Development Ltd HK0200030994 · Hong Kong SAR China | 39 | 34.4M $ |
| 10,084 | Mercer Park Opportunities Corp KYG6002A1058 · Cayman Islands | 12 | 34.1M $ |
| 10,085 | Ichia Technologies Inc TW0002402005 · Taiwan | 31 | 34.4M $ |
| 10,086 | Depo Auto Parts Ind Co Ltd TW0006605009 · Taiwan | 39 | 34.4M $ |
| 10,087 | Abu Dhabi National Hotels AEA000301019 · United Arab Emirates | 27 | 34.5M $ |
| 10,088 | Trimegah Bangun Persada Tbk PT ID1000188006 · Indonesia | 43 | 34.3M $ |
| 10,089 | Tanco Holdings Bhd MYL2429OO008 · Malaysia | 18 | 34.4M $ |
| 10,090 | MyState Ltd AU000000MYS0 · Australia | 36 | 34.3M $ |
| 10,091 | HERON NEUTRON MEDICAL CORP TW0007799009 · Taiwan | 8 | 34.5M $ |
| 10,092 | Baron Focused Growth Fund US06828M5040 · United States | 1 | 33.8M $ |
| 10,093 | Zheshang Securities Co Ltd CNE100002R65 · China | 55 | 34.5M $ |
| 10,094 | Westwood Holdings Group Inc US9617651040 · United States | 103 | 34M $ |
| 10,095 | Eaton Vance Tax-Managed Global Diversified Equity Income Fund US27829F1084 · United States | 3 | 34.7M $ |
| 10,096 | Saudi Pharmaceutical Industries & Medical Appliances Corp SA0007879188 · Saudi Arabia | 33 | 34.4M $ |
| 10,097 | iShares MSCI Norway ETF US46429B4995 · United States | 1 | 34.3M $ |
| 10,098 | SDI Corp TW0002351004 · Taiwan | 31 | 34.3M $ |
| 10,099 | Medifast Inc US58470H1014 · United States | 132 | 34.2M $ |
| 10,100 | Dongxing Securities Co Ltd CNE100002177 · China | 51 | 34.4M $ |