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 |
|---|---|---|---|
| 10,301 | MBSB Bhd MYL1171OO007 · Malaysia | 35 | 32.3M $ |
| 10,302 | Seaport Entertainment Group Inc US8122152007 · United States | 127 | 32M $ |
| 10,303 | HS Hyosung Advanced Materials Corp KR7298050006 · South Korea | 41 | 32.3M $ |
| 10,304 | Cedar Woods Properties Ltd AU000000CWP1 · Australia | 41 | 32.2M $ |
| 10,305 | Dosilicon Co Ltd CNE1000055X6 · China | 25 | 32.2M $ |
| 10,306 | Mobilezone Holding AG CH0276837694 · Switzerland | 35 | 32.2M $ |
| 10,307 | DBV Technologies SA US23306J3095 · France · 2 listed lines | 10 | 31.7M $ |
| 10,308 | Macquarie Korea Infrastructure Fund KR7088980008 · South Korea | 22 | 32M $ |
| 10,309 | Hino Motors Ltd JP3792600003 · Japan | 33 | 32M $ |
| 10,310 | Festi hf IS0000020584 · Iceland | 12 | 32.2M $ |
| 10,311 | Grape King Bio Ltd TW0001707008 · Taiwan | 39 | 32.2M $ |
| 10,312 | Japan Electronic Materials Corp JP3735300000 · Japan | 28 | 32.3M $ |
| 10,313 | Zylox-Tonbridge Medical Technology Co Ltd CNE100004JD2 · China | 20 | 32.1M $ |
| 10,314 | Aditya Birla Housing Finance Ltd. INE831R07573 · India | 2 | 31.5M $ |
| 10,315 | Aditya Birla Housing Finance Ltd. INE831R07540 · India | 2 | 31.5M $ |
| 10,316 | Zuger Kantonalbank CH0493891243 · Switzerland | 22 | 32.1M $ |
| 10,317 | AP Thailand PCL TH0308010Y16 · Thailand | 22 | 32.1M $ |
| 10,318 | Integral Diagnostics Ltd AU000000IDX2 · Australia | 32 | 32M $ |
| 10,319 | Amlogic Shanghai Co Ltd CNE100003LZ3 · China | 52 | 32.1M $ |
| 10,320 | HAESUNG DS Co Ltd KR7195870001 · South Korea | 34 | 32M $ |
| 10,321 | Columbia Disciplined Core Fund US19766J5653 · United States | 2 | 32.1M $ |
| 10,322 | Pinewood Technologies Group PLC GB00BSB7BS06 · United Kingdom | 26 | 32.1M $ |
| 10,323 | Tokyo Electron Device Ltd JP3571600000 · Japan | 44 | 32M $ |
| 10,324 | Asahi Kogyosha Co Ltd JP3112800002 · Japan | 30 | 32M $ |
| 10,325 | A&D HOLON Holdings Co Ltd JP3160130005 · Japan | 42 | 32M $ |
| 10,326 | SK oceanplant Co Ltd KR7100090000 · South Korea | 34 | 32M $ |
| 10,327 | iShares Trust US46434V7617 · United States | 2 | 32M $ |
| 10,328 | Pfeiffer Vacuum Technology AG DE0006916604 · Germany | 36 | 31.9M $ |
| 10,329 | Small Industries Development Bank of India INE556F08LG1 · India | 1 | 31.4M $ |
| 10,330 | Sonata Software Ltd INE269A01021 · India | 41 | 32M $ |
| 10,331 | LOTTE Reit Co Ltd KR7330590001 · South Korea | 23 | 32M $ |
| 10,332 | Creades AB SE0015661236 · Sweden | 28 | 31.5M $ |
| 10,333 | Via Technologies Inc TW0002388006 · Taiwan | 28 | 32M $ |
| 10,334 | Evolution Petroleum Corp US30049A1079 · United States | 122 | 31.8M $ |
| 10,335 | Northwestern Mutual Series Fund, Inc. - Mid Cap Growth Stock Portfolio US6681408661 · United States | 5 | 31.4M $ |
| 10,336 | Anzen India Energy Yield Plus Trust INE0MIZ07038 · India | 2 | 31.3M $ |
| 10,337 | Mochida Pharmaceutical Co Ltd JP3922800002 · Japan | 50 | 31.8M $ |
| 10,338 | Hainan Airport Infrastructure Co Ltd CNE000001C32 · China | 45 | 32M $ |
| 10,339 | Hartford Small Cap Value Fund US41664T2978 · United States | 3 | 31.9M $ |
| 10,340 | Mega First Corp BHD MYL3069OO001 · Malaysia | 35 | 31.9M $ |
| 10,341 | Idec Corp/Japan JP3138800002 · Japan | 41 | 31.8M $ |
| 10,342 | Gujarat State Fertilizers & Chemicals Ltd INE026A01025 · India | 28 | 31.9M $ |
| 10,343 | Allspring Funds Trust US9499216706 · United States · 3 listed lines | 4 | 31.3M $ |
| 10,344 | Real Matters Inc CA75601Y1007 · Canada | 26 | 31.8M $ |
| 10,345 | Wonik Holdings Co Ltd KR7030530000 · South Korea | 17 | 31.7M $ |
| 10,346 | Invesco Senior Income Trust US46131H1077 · United States | 12 | 31.5M $ |
| 10,347 | Peoples Bancorp of North Carolina Inc US7105771072 · United States | 117 | 31.5M $ |
| 10,348 | Domo Inc US2575541055 · United States | 142 | 31.6M $ |
| 10,349 | Sudeep Pharma Ltd INE0QPI01025 · India | 8 | 31.2M $ |
| 10,350 | Wuestenrot & Wuerttembergische AG DE0008051004 · Germany | 50 | 31.8M $ |
| 10,351 | Gateway Distriparks Ltd INE079J01017 · India | 33 | 31.4M $ |
| 10,352 | Olectra Greentech Ltd INE260D01016 · India | 34 | 31.8M $ |
| 10,353 | Eve Holding Inc US29970N1046 · United States | 87 | 31.5M $ |
| 10,354 | Aurion Resources Ltd CA05156F1071 · Canada | 3 | 31.8M $ |
| 10,355 | Reysas Gayrimenkul Yatirim Ortakligi AS TRERGYO00019 · Türkiye | 28 | 31.6M $ |
| 10,356 | Sincere Navigation Corp TW0002605003 · Taiwan | 38 | 31.6M $ |
| 10,357 | BridgeBio Oncology Therapeutics Inc US1079241022 · United States | 25 | 31.6M $ |
| 10,358 | LNKPNG 2.172 03/27/28 #DMTN SE0013885142 · Sweden | 1 | 31.2M $ |
| 10,359 | Codexis Inc US1920051067 · United States | 125 | 31.4M $ |
| 10,360 | LUNDBS 2.948 10/22/30 #DMTN SE0013886108 · Sweden | 1 | 31.1M $ |
| 10,361 | Zhejiang Weiming Environment Protection Co Ltd CNE1000023N5 · China | 52 | 31.7M $ |
| 10,362 | Materials Analysis Technology Inc TW0003587002 · Taiwan | 29 | 31.6M $ |
| 10,363 | Shyam Metalics & Energy Ltd INE810G01011 · India | 31 | 31.6M $ |
| 10,364 | Funko Inc US3610081057 · United States | 129 | 31.4M $ |
| 10,365 | Mitsuuroko Group Holdings Co Ltd JP3894400005 · Japan | 42 | 31.5M $ |
| 10,366 | Nippon Thompson Co Ltd JP3739400004 · Japan | 39 | 31.5M $ |
| 10,367 | Vanguard Financials ETF US92204A4058 · United States | 8 | 31.7M $ |
| 10,368 | SMFG India Credit Company Ltd. INE535H07CQ1 · India | 1 | 31M $ |
| 10,369 | DoubleLine Long Duration Total US2586207498 · United States | 1 | 31M $ |
| 10,370 | PACIFIC SELECT FD US69480V8578 · United States | 5 | 31M $ |
| 10,371 | Maas Group Holdings Ltd AU0000118564 · Australia | 42 | 31.3M $ |
| 10,372 | Mango Excellent Media Co Ltd CNE100001Y83 · China | 63 | 31.5M $ |
| 10,373 | Atex Resources Inc CA04681A1057 · Canada | 5 | 31.3M $ |
| 10,374 | Taesung Co Ltd KR7323280008 · South Korea | 12 | 31.4M $ |
| 10,375 | Tainan Spinning Co Ltd TW0001440006 · Taiwan | 33 | 31.5M $ |
| 10,376 | Yunnan Tin Co Ltd CNE0000011D3 · China | 43 | 31.5M $ |
| 10,377 | Global Indemnity Group LLC US37959R1032 · United States | 11 | 31.2M $ |
| 10,378 | Baron Real Estate Fund US06828M8010 · United States | 2 | 30.9M $ |
| 10,379 | ZCZL Industrial Technology Group Co Ltd CNE100001LY0 · China · 2 listed lines | 47 | 31.4M $ |
| 10,380 | DMC Global Inc US23291C1036 · United States | 148 | 31.2M $ |
| 10,381 | TERRASANTAPA ON NM BRLANDACNOR9 · Brazil | 26 | 31.4M $ |
| 10,382 | Cover Corp JP3218500001 · Japan | 28 | 31.4M $ |
| 10,383 | Tamilnad Mercantile Bank Ltd INE668A01016 · India | 31 | 31.4M $ |
| 10,384 | MIRARTH Real Estate Investment Corp JP3048750008 · Japan | 29 | 31.3M $ |
| 10,385 | Shanghai Electric Power Co Ltd CNE000001G53 · China | 43 | 31.5M $ |
| 10,386 | Yanlord Land Group Ltd SG1T57930854 · Singapore | 31 | 31.5M $ |
| 10,387 | IRB InvIT Fund INE183W23014 · India | 6 | 31.2M $ |
| 10,388 | iShares Global Energy ETF US4642873412 · United States | 6 | 31.3M $ |
| 10,389 | Zhejiang Shuanghuan Driveline Co Ltd CNE100000TF4 · China | 22 | 30.9M $ |
| 10,390 | Lulu Retail Holdings PLC AEE01487L240 · United Arab Emirates | 12 | 31.3M $ |
| 10,391 | Sun Frontier Fudousan Co Ltd JP3336950005 · Japan | 54 | 31.1M $ |
| 10,392 | Virginia National Bankshares Corp US9280311039 · United States | 102 | 31M $ |
| 10,393 | Nivika Fastigheter AB SE0017083272 · Sweden | 31 | 30.8M $ |
| 10,394 | Investment AB Oresund SE0008321608 · Sweden | 22 | 30.9M $ |
| 10,395 | Prudential Investment Portfolios 18 US74440G8592 · United States | 2 | 31.3M $ |
| 10,396 | Asanuma Corp JP3110000001 · Japan | 37 | 31.2M $ |
| 10,397 | Baiyin Nonferrous Group Co Ltd CNE100002RP3 · China | 46 | 31.2M $ |
| 10,398 | Banque Cantonale de Geneve CH1485899350 · Switzerland | 22 | 31.2M $ |
| 10,399 | RS Technologies Co Ltd JP3100350002 · Japan | 32 | 31.1M $ |
| 10,400 | Devyani International Ltd INE872J01023 · India | 29 | 31.3M $ |