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 |
|---|---|---|---|
| 10,501 | Swan Corp Ltd INE665A01038 · India | 31 | 30M $ |
| 10,502 | Live Oak Acquisition Corp V KYG5509P1028 · United States | 11 | 29.5M $ |
| 10,503 | eGain Corp US28225C8064 · United States | 139 | 29.7M $ |
| 10,504 | Middle East Healthcare Co SA141H01UKH9 · Saudi Arabia | 34 | 30M $ |
| 10,505 | Pricol Ltd INE726V01018 · India | 34 | 30M $ |
| 10,506 | Beijing Compass Technology Development Co Ltd CNE000001QQ6 · China | 50 | 30M $ |
| 10,507 | Garware Technical Fibres Ltd INE276A01018 · India | 32 | 29.6M $ |
| 10,508 | Guardian Metal Resources Plc US4013821065 · United Kingdom · 2 listed lines | 9 | 29.8M $ |
| 10,509 | JPMORGAN TRUST II US4812C22134 · United States | 2 | 29.4M $ |
| 10,510 | Acast AB SE0015960935 · Sweden | 16 | 29.4M $ |
| 10,511 | Weilong Delicious Global Holdings Ltd KYG9T20T1051 · Hong Kong SAR China | 22 | 29.8M $ |
| 10,512 | Maxi Renda FII BRMXRFCTF008 · Brazil | 4 | 29.9M $ |
| 10,513 | Enerya Enerji AS TREENRY00016 · Türkiye | 39 | 29.9M $ |
| 10,514 | Seven Hills Realty Trust US81784E1010 · United States | 78 | 29.5M $ |
| 10,515 | Cybozu Inc JP3312100005 · Japan | 51 | 29.7M $ |
| 10,516 | Isoftstone Information Technology Group Co Ltd CNE1000058S0 · China | 44 | 29.9M $ |
| 10,517 | Sagimet Biosciences Inc US7867001049 · United States | 39 | 29.7M $ |
| 10,518 | Sodick Co Ltd JP3434200006 · Japan | 29 | 29.8M $ |
| 10,519 | K-fast Holding AB SE0016101679 · Sweden | 36 | 29.3M $ |
| 10,520 | Vetropack Holding AG CH0530235594 · Switzerland | 45 | 29.6M $ |
| 10,521 | GL Events SACA FR0000066672 · France | 43 | 29.7M $ |
| 10,522 | Miller Convertible Bond Fund US60055P8398 · United States | 1 | 30M $ |
| 10,523 | DigiPlus Interactive Corp PHY525731394 · Philippines | 35 | 29.7M $ |
| 10,524 | Da-Li Development Co Ltd TW0006177009 · Taiwan | 37 | 29.6M $ |
| 10,525 | Lotte Chilsung Beverage Co Ltd KR7005300009 · South Korea | 39 | 29.8M $ |
| 10,526 | Enchem Co Ltd KR7348370008 · South Korea | 30 | 29.7M $ |
| 10,527 | Pacer Funds Trust US69374H7098 · United States | 6 | 29.5M $ |
| 10,528 | Mixue Group CNE100006T36 · Hong Kong SAR China | 22 | 29.6M $ |
| 10,529 | Lionheart Holdings KYG5501C1096 · United States | 11 | 29.2M $ |
| 10,530 | PATRIZIA SE DE000PAT1AG3 · Germany | 39 | 29.6M $ |
| 10,531 | AQR Equity Market Neutral Fund US00191K7990 · United States | 1 | 29.2M $ |
| 10,532 | Framery Group OYJ FI4000595756 · Finland | 7 | 29.2M $ |
| 10,533 | Jiangxi Special Electric Motor Co Ltd CNE1000007F4 · China | 13 | 29.7M $ |
| 10,534 | Supreme Petrochem Ltd INE663A01033 · India | 37 | 29.6M $ |
| 10,535 | Madison Large Cap Fund US5574923869 · United States | 6 | 29.3M $ |
| 10,536 | Leader Short Term High Yield Bond Fund US52169B1035 · United States | 1 | 29.6M $ |
| 10,537 | Hunan Valin Steel Co Ltd CNE000001006 · China | 55 | 29.6M $ |
| 10,538 | Pacer Funds Trust - Pacer Tren US69374H3030 · United States | 4 | 29.3M $ |
| 10,539 | Marshalls PLC GB00B012BV22 · United Kingdom | 45 | 29.5M $ |
| 10,540 | Health & Happiness H&H International Holdings Ltd KYG4387E1070 · Hong Kong SAR China | 38 | 29.5M $ |
| 10,541 | Shanghai RAAS Blood Products Co Ltd CNE100000C31 · China | 59 | 29.6M $ |
| 10,542 | Mitsui DM Sugar Co Ltd JP3890400009 · Japan | 50 | 29.5M $ |
| 10,543 | BASF India Ltd INE373A01013 · India | 36 | 29.6M $ |
| 10,544 | Dong-E-E-Jiao Co Ltd CNE0000006Y9 · China | 37 | 29.3M $ |
| 10,545 | JK Paper Ltd INE789E01012 · India | 37 | 29.5M $ |
| 10,546 | Raydium Semiconductor Corp TW0003592002 · Taiwan | 38 | 29.5M $ |
| 10,547 | Funding Circle Holdings PLC GB00BG0TPX62 · United Kingdom | 20 | 29M $ |
| 10,548 | REC Ltd. INE020B08EW9 · India | 2 | 28.9M $ |
| 10,549 | China Shineway Pharmaceutical Group Ltd KYG2110P1000 · Cayman Islands | 31 | 29.4M $ |
| 10,550 | T Rowe Price US Ltd Duration TIPS Index Fund US87283F6060 · United States | 5 | 28.9M $ |
| 10,551 | Solid Inc KR7050890003 · South Korea | 24 | 29.3M $ |
| 10,552 | Cal-Comp Electronics Thailand PCL TH0639010Z13 · Thailand · 3 listed lines | 35 | 29.4M $ |
| 10,553 | Maruchiyo Yamaokaya Corp JP3876450002 · Japan | 17 | 28.9M $ |
| 10,554 | Honasa Consumer Ltd INE0J5401028 · India | 21 | 29.4M $ |
| 10,555 | DFA VA U.S. Large Value Portfolio US2332037777 · United States | 3 | 29.3M $ |
| 10,556 | Jiangsu King's Luck Brewery JSC Ltd CNE100001TH8 · China | 62 | 29.4M $ |
| 10,557 | China Risun Group Ltd KYG2120H1065 · Cayman Islands | 26 | 29.4M $ |
| 10,558 | EXSITEC SE0014035762 · Sweden | 8 | 28.8M $ |
| 10,559 | Henan Shijia Photons Technology Co Ltd CNE100004454 · China | 13 | 29.2M $ |
| 10,560 | Zhejiang Weixing Industrial Development Co Ltd CNE000001JH0 · China | 18 | 28.8M $ |
| 10,561 | Realord Group Holdings Ltd BMG7403L1046 · Hong Kong SAR China | 18 | 29.1M $ |
| 10,562 | Shenzhen SC New Energy Technology Corp CNE100003G91 · China | 33 | 29.1M $ |
| 10,563 | John Deere Financial India Pvt. Ltd. INE00V208132 · India | 1 | 28.6M $ |
| 10,564 | REC Ltd. INE020B08FZ9 · India | 1 | 28.6M $ |
| 10,565 | Etihad GO Telecom Co SA128G53E019 · Saudi Arabia | 27 | 29.2M $ |
| 10,566 | Barings BDC Inc US06759L1035 · United States | 9 | 28.9M $ |
| 10,567 | MML INFLATION PROTECTED BD FD US55312G2003 · United States | 5 | 28.7M $ |
| 10,568 | Konishi Co Ltd JP3300800004 · Japan | 45 | 29.1M $ |
| 10,569 | GoodRx Holdings Inc US38246G1085 · United States | 69 | 28.9M $ |
| 10,570 | SK Discovery Co Ltd KR7006120000 · South Korea | 38 | 29.1M $ |
| 10,571 | Grupo Simec SAB de CV MXP4984U1083 · Mexico · 2 listed lines | 8 | 29.1M $ |
| 10,572 | Tuhu Car Inc KYG912241083 · Hong Kong SAR China | 28 | 29.1M $ |
| 10,573 | Shenzhen MTC Co Ltd CNE100000Q50 · China | 30 | 29M $ |
| 10,574 | Nazara Technologies Ltd INE418L01047 · India | 30 | 29.2M $ |
| 10,575 | Chicago Atlantic Real Estate Finance Inc US1672391026 · United States | 78 | 28.7M $ |
| 10,576 | Hopson Development Holdings Ltd BMG4600H1198 · Bermuda | 43 | 29.1M $ |
| 10,577 | Catalyst International UCITS ICAV IE000MWYLF72 · Ireland | 1 | 28.6M $ |
| 10,578 | Lifezone Metals Ltd IM00BLCY1J27 · Isle of Man | 73 | 29M $ |
| 10,579 | K&O Energy Group Inc JP3277020008 · Japan | 26 | 29M $ |
| 10,580 | Gulf Keystone Petroleum Ltd BMG4209G2077 · United Kingdom | 22 | 29.1M $ |
| 10,581 | Turkiye Sinai Kalkinma Bankasi AS TRATSKBW91N0 · Türkiye | 44 | 29.1M $ |
| 10,582 | Lens Technology Co Ltd CNE1000070N6 · Hong Kong SAR China | 19 | 29M $ |
| 10,583 | Avantis US Small Cap Equity ETF US0250723238 · United States | 3 | 29.3M $ |
| 10,584 | Geo Holdings Corp JP3282400005 · Japan | 39 | 29M $ |
| 10,585 | Silvercrest Asset Management Group Inc US8283591092 · United States | 118 | 28.7M $ |
| 10,586 | BNY MELLON ADVANTAGE FUNDS INC US05587N8285 · United States | 1 | 29M $ |
| 10,587 | DCB Bank Ltd INE503A01015 · India | 31 | 28.8M $ |
| 10,588 | Sundaram-Clayton Ltd INE0Q3R01026 · India | 12 | 28.4M $ |
| 10,589 | ESR Kendall Square REIT Co Ltd KR7365550003 · South Korea | 25 | 28.9M $ |
| 10,590 | CapitaLand China Trust SG1U25933169 · Singapore | 23 | 28.8M $ |
| 10,591 | WellCell Holdings Co Ltd KYG9541D1354 · Hong Kong SAR China | 9 | 28.9M $ |
| 10,592 | Mah Sing Group Bhd MYL8583OO006 · Malaysia | 42 | 28.9M $ |
| 10,593 | Virtus Alternative Solutions Trust US92835M4226 · United States · 2 listed lines | 3 | 28.4M $ |
| 10,594 | Aspen Group Ltd/Australia AU000000APZ8 · Australia | 15 | 28.8M $ |
| 10,595 | Hunan Yuneng New Energy Battery Material Co Ltd CNE100005YS6 · China | 17 | 28.8M $ |
| 10,596 | Twin Oak Short Horizon Absolut US56170L6618 · United States | 1 | 29.1M $ |
| 10,597 | Grupa Pracuj SA/Poland PLGRPRC00015 · Poland | 13 | 28.3M $ |
| 10,598 | HDC Holdings Co Ltd KR7012630000 · South Korea | 37 | 28.7M $ |
| 10,599 | ASROCK Inc TW0003515003 · Taiwan | 38 | 28.8M $ |
| 10,600 | LINKBANCORP Inc US53578P1057 · United States | 109 | 28.5M $ |