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 |
|---|---|---|---|
| 10,201 | Spin Master Corp CA8485101031 · Canada | 40 | 33.3M $ |
| 10,202 | Anhui Gujing Distillery Co Ltd CNE000000MD5 · China | 62 | 33.3M $ |
| 10,203 | Ring Energy Inc US76680V1089 · United States | 27 | 33M $ |
| 10,204 | Nitta Corp JP3679850002 · Japan | 38 | 33.1M $ |
| 10,205 | Wing Tai Holdings Ltd SG1K66001688 · Singapore | 28 | 33.1M $ |
| 10,206 | SIMT TAX MGD SM MID CAP-Y US78413L8110 · United States | 3 | 32.6M $ |
| 10,207 | Nissei ASB Machine Co Ltd JP3678200001 · Japan | 39 | 33M $ |
| 10,208 | Tera Yatirim Teknoloji Holding AS TRAGLOBL91Q0 · Türkiye | 20 | 33.1M $ |
| 10,209 | Kelsian Group Ltd AU0000186678 · Australia | 45 | 33M $ |
| 10,210 | China Bills Finance Corp TW0002820008 · Taiwan | 36 | 33.1M $ |
| 10,211 | United Development Co QSC QA000A0KD6M9 · Qatar | 35 | 33.1M $ |
| 10,212 | BRIGHTHOUSE FDS TR I US10923M6663 · United States | 2 | 32.5M $ |
| 10,213 | Country Garden Holdings Co Ltd KYG245241032 · Hong Kong SAR China | 37 | 33M $ |
| 10,214 | M-Tron Industries Inc US55380K1097 · United States · 2 listed lines | 113 | 32.8M $ |
| 10,215 | Changchun High-Tech Industry Group Co Ltd CNE0000007J8 · China | 67 | 33.1M $ |
| 10,216 | ACM Research Shanghai Inc CNE100004ZD8 · China | 44 | 33.1M $ |
| 10,217 | Attacq Ltd ZAE000177218 · South Africa | 11 | 33.1M $ |
| 10,218 | Emirates Integrated Telecommunications Co PJSC AEE000701012 · United Arab Emirates | 24 | 33M $ |
| 10,219 | North American Construction Group Ltd CA6568111067 · Canada | 27 | 32.9M $ |
| 10,220 | Eagle Bancorp Montana Inc US26942G1004 · United States | 105 | 32.8M $ |
| 10,221 | Torunlar Gayrimenkul Yatirim Ortakligi AS TRETRGY00018 · Türkiye | 34 | 32.9M $ |
| 10,222 | Madison Covered Call ETF US5574414091 · United States | 2 | 32.6M $ |
| 10,223 | Guanghui Energy Co Ltd CNE0000012G4 · China | 35 | 32.9M $ |
| 10,224 | SBERBANK OF RUSSIA PJSC RU0009029540 · Russia · 2 listed lines | 131 | 32.8M $ |
| 10,225 | G Shank Enterprise Co Ltd TW0002476009 · Taiwan | 33 | 32.9M $ |
| 10,226 | Meridian Mining PLC GB00BVPND783 · United Kingdom | 7 | 32.7M $ |
| 10,227 | GMO US Small Cap Value Fund US36256V8744 · United States | 3 | 33.2M $ |
| 10,228 | NewPrinces SpA IT0005385213 · Italy | 47 | 33M $ |
| 10,229 | Indegene Ltd INE065X01017 · India | 18 | 32.4M $ |
| 10,230 | Jyoti CNC Automation Ltd INE980O01024 · India | 19 | 33M $ |
| 10,231 | Ajax Engineering Ltd INE274Y01021 · India | 7 | 32.3M $ |
| 10,232 | Forum Funds US34985D1090 · United States | 1 | 32.3M $ |
| 10,233 | Catapult Sports Ltd AU000000CAT9 · Australia | 35 | 32.8M $ |
| 10,234 | VEF AB SE0016128151 · Sweden | 18 | 32.8M $ |
| 10,235 | Intellian Technologies Inc KR7189300007 · South Korea | 24 | 32.8M $ |
| 10,236 | GP-ACT III ACQUISITION CORP KYG4035N1034 · United States | 12 | 32.3M $ |
| 10,237 | Richardson Electronics Ltd/United States US7631651079 · United States | 114 | 32.6M $ |
| 10,238 | Fuji Co Ltd/Ehime JP3807400001 · Japan | 51 | 32.8M $ |
| 10,239 | FOSHAN HAITIAN FLAVOURING AND FOOD CO LTD CNE100006Z53 · China | 15 | 32.8M $ |
| 10,240 | Hana Microelectronics PCL TH0324B10Z19 · Thailand · 3 listed lines | 35 | 32.8M $ |
| 10,241 | First Trust Exchange-Traded Fund US33733E8562 · United States | 4 | 32.9M $ |
| 10,242 | Holding Co ADMIE IPTO SA GRS518003009 · Greece | 31 | 32.9M $ |
| 10,243 | Gemlife Communities Group AU0000402562 · Australia | 27 | 32.7M $ |
| 10,244 | Power Grid Corporation of India Ltd. INE752E08726 · India | 2 | 32.2M $ |
| 10,245 | KeePer Technical Laboratory Co Ltd JP3236320002 · Japan | 50 | 32.5M $ |
| 10,246 | PASSPN BRPASSACNPB8 · Brazil | 1 | 32.8M $ |
| 10,247 | Amtech Systems Inc US0323325045 · United States | 43 | 32.6M $ |
| 10,248 | Milbon Co Ltd JP3910650005 · Japan | 50 | 32.6M $ |
| 10,249 | Le Travenues Technology Ltd INE0HV901016 · India | 15 | 32.4M $ |
| 10,250 | IwaiCosmo Holdings Inc JP3149950002 · Japan | 33 | 32.8M $ |
| 10,251 | TCW Metrop West Funds US5929057496 · United States | 2 | 32.2M $ |
| 10,252 | Farm Fresh Bhd MYL5306OO005 · Malaysia | 27 | 32.7M $ |
| 10,253 | Kansai Nerolac Paints Ltd INE531A01024 · India | 38 | 32.6M $ |
| 10,254 | Godrej Industries Ltd INE233A01035 · India | 32 | 32.5M $ |
| 10,255 | United Nova Technology Co Ltd CNE1000060N7 · China | 33 | 32.7M $ |
| 10,256 | Bajaj Housing Finance Ltd. INE377Y01014 · India | 20 | 32.6M $ |
| 10,257 | Azad Engineering Ltd INE02IJ01035 · India | 15 | 32.7M $ |
| 10,258 | Okeanis Eco Tankers Corp MHY641771016 · Marshall Islands | 33 | 32.6M $ |
| 10,259 | BH Co Ltd KR7090460007 · South Korea | 36 | 32.6M $ |
| 10,260 | QUALITAS LTD AU0000195265 · Australia | 6 | 32.2M $ |
| 10,261 | PKSHA Technology Inc JP3780050005 · Japan | 36 | 32.7M $ |
| 10,262 | Avia Avian Tbk PT ID1000165004 · Indonesia | 33 | 32.3M $ |
| 10,263 | Welspun Living Ltd INE192B01031 · India | 40 | 32.6M $ |
| 10,264 | KRBL Ltd INE001B01026 · India | 41 | 32.6M $ |
| 10,265 | Epsilon Energy Ltd CA2943752097 · United States | 100 | 32.4M $ |
| 10,266 | NexPoint Diversified Real Estate Trust US65340G2057 · United States | 87 | 32.2M $ |
| 10,267 | Open Lending Corp US68373J1043 · United States | 106 | 32.3M $ |
| 10,268 | Sichuan Expressway Co Ltd CNE100000494 · Hong Kong SAR China · 2 listed lines | 25 | 32.5M $ |
| 10,269 | Angelalign Technology Inc KYG0405D1051 · Hong Kong SAR China | 28 | 32.6M $ |
| 10,270 | TPK Holding Co Ltd KYG898431096 · Taiwan | 29 | 32.5M $ |
| 10,271 | Towngas Smart Energy Co Ltd KYG8972T1067 · Cayman Islands | 33 | 32.5M $ |
| 10,272 | Victory Pioneer Strategic Inco US92648H7199 · United States | 2 | 31.9M $ |
| 10,273 | Pacer Swan SOS Flex January ET US69374H5761 · United States | 1 | 32.5M $ |
| 10,274 | GemVax & Kael Co Ltd KR7082270000 · South Korea | 16 | 32.5M $ |
| 10,275 | Shanxi Coking Coal Energy Group Co Ltd CNE0000013Y5 · China | 53 | 32.5M $ |
| 10,276 | G2 Goldfields Inc CA36256R1055 · Canada | 11 | 32.1M $ |
| 10,277 | Sanofi India Ltd INE058A01010 · India | 28 | 32.3M $ |
| 10,278 | NCC Group PLC GB00B01QGK86 · United Kingdom | 38 | 32.4M $ |
| 10,279 | Cresco Ltd JP3271100004 · Japan | 37 | 32.5M $ |
| 10,280 | BMTC Group Inc CA05561N2086 · Canada | 10 | 32.4M $ |
| 10,281 | Avantis US Mid Cap Value ETF US0250721331 · United States | 3 | 32.7M $ |
| 10,282 | Advtech Ltd ZAE000031035 · South Africa | 18 | 32.3M $ |
| 10,283 | Instone Real Estate Group SE DE000A2NBX80 · Germany | 34 | 32.4M $ |
| 10,284 | Better Collective A/S DK0060952240 · Sweden | 44 | 32.3M $ |
| 10,285 | Abeona Therapeutics Inc US00289Y2063 · United States | 96 | 32M $ |
| 10,286 | BAUSCH + LOMB CORP CA0717051076 · Canada | 25 | 32.5M $ |
| 10,287 | JPC connectivity Inc TW0006197007 · Taiwan | 31 | 32.3M $ |
| 10,288 | Physicswallah Ltd. INE0LP301011 · India | 8 | 31.9M $ |
| 10,289 | MicroVision Inc US5949603048 · United States | 98 | 32.1M $ |
| 10,290 | Ningbo Joyson Electronic Corp CNE000000DJ1 · China · 2 listed lines | 35 | 32.3M $ |
| 10,291 | Alembic Pharmaceuticals Ltd INE901L01018 · India | 39 | 32.4M $ |
| 10,292 | Vanguard Scottsdale Funds US92206C6232 · United States | 2 | 32M $ |
| 10,293 | Sun Corp JP3336450006 · Japan | 22 | 32.2M $ |
| 10,294 | Evergreen International Storage & Transport Corp TW0002607009 · Taiwan | 42 | 32.4M $ |
| 10,295 | FleetPartners Group Ltd AU0000272924 · Australia | 36 | 32.4M $ |
| 10,296 | Masan Consumer Corp VN000000MCH0 · Vietnam | 6 | 31.8M $ |
| 10,297 | LT Group Inc PHY5342M1000 · Philippines | 43 | 32.4M $ |
| 10,298 | United Super Markets Holdings Inc JP3949450005 · Japan | 54 | 32.3M $ |
| 10,299 | Eaton Vance Emerging Markets Local Income Fund US2779234473 · United States | 1 | 31.8M $ |
| 10,300 | Bata India Ltd INE176A01028 · India | 38 | 32.4M $ |