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 |
|---|---|---|---|
| 11,201 | Chengxin Lithium Group Co Ltd CNE100000BN6 · China | 27 | 23.4M $ |
| 11,202 | Etron Technology Inc TW0005351001 · Taiwan | 8 | 23.3M $ |
| 11,203 | Baron Discovery Fund US0682788528 · United States | 1 | 22.9M $ |
| 11,204 | Northwestern Mutual Series Fund, Inc. - Small Cap Value Portfolio US6681408174 · United States | 4 | 22.9M $ |
| 11,205 | Railtel Corp of India Ltd INE0DD101019 · India | 38 | 23.4M $ |
| 11,206 | WISDOMTREE TRUST WISDOMTREE CHINA EX-STATE-OWNED ENTERPRISES FUND US97717X7012 · United States | 1 | 23.5M $ |
| 11,207 | Dazhong Mining Co Ltd CNE100004JY8 · China | 7 | 23.3M $ |
| 11,208 | ZJLD Group Inc KYG989BA1027 · Hong Kong SAR China | 25 | 23.3M $ |
| 11,209 | Coinshares Jersey Ltd GB00BLD4ZN31 · Jersey | 1 | 23.5M $ |
| 11,210 | Supply Network Ltd AU000000SNL5 · Australia | 35 | 23.1M $ |
| 11,211 | Innovator U.S. Equity Buffer E US45782C3262 · United States | 1 | 23.2M $ |
| 11,212 | BAIC Foton Motor Co Ltd CNE000000WC6 · China | 30 | 23.2M $ |
| 11,213 | Income Fund of America/The US4533207720 · United States | 1 | 22.8M $ |
| 11,214 | Yunnan Lincang Xinyuan Germanium Industrial Co Ltd CNE100000Q27 · China | 12 | 23.1M $ |
| 11,215 | GMO MAC Implementation Fund US36256V2549 · United States | 1 | 23.4M $ |
| 11,216 | Western Asset Inflation-Linked Opportunities & Income Fund US95766R1041 · United States | 10 | 23.1M $ |
| 11,217 | abrdn Ultra Short Municipal Income Active ETF US0030222741 · United States | 1 | 23.2M $ |
| 11,218 | US78413L5066 US78413L5066 · United States | 3 | 22.8M $ |
| 11,219 | VanEck Agribusiness ETF US92189F7006 · United States | 1 | 22.8M $ |
| 11,220 | Tanla Platforms Ltd INE483C01032 · India | 36 | 23.2M $ |
| 11,221 | Melar Acquisition Corp I KYG6004G1001 · United States | 9 | 22.8M $ |
| 11,222 | Sinko Industries Ltd JP3372800007 · Japan | 46 | 23.1M $ |
| 11,223 | Abacus Storage King AU0000286213 · Australia | 23 | 23.1M $ |
| 11,224 | Wajax Corp CA9307831052 · Canada | 35 | 23.2M $ |
| 11,225 | Star Petroleum Refining PCL TH6838010010 · Thailand | 23 | 23M $ |
| 11,226 | ESPEC Corp JP3469800001 · Japan | 35 | 23M $ |
| 11,227 | Reitir fasteignafelag hf IS0000020352 · Iceland | 12 | 23.1M $ |
| 11,228 | Nihon Nohyaku Co Ltd JP3741800001 · Japan | 39 | 23M $ |
| 11,229 | LX Holdings Corp KR7383800000 · South Korea | 26 | 23M $ |
| 11,230 | Nippon Chemi-Con Corp JP3701200002 · Japan | 33 | 23.1M $ |
| 11,231 | BLACKROCK MUNIHOLDINGS FD INC US09253N1046 · United States | 12 | 23M $ |
| 11,232 | Refrigeration Electrical Engineering Corp VN000000REE2 · Vietnam | 5 | 22.8M $ |
| 11,233 | Oriental Holdings BHD MYL4006OO002 · Malaysia | 15 | 23M $ |
| 11,234 | First Trust Exchange-Traded AlphaDEX Fund II US33737J1824 · United States | 2 | 22.7M $ |
| 11,235 | Nippon Denko Co Ltd JP3734600004 · Japan | 34 | 23.1M $ |
| 11,236 | Roundhill AAPL WeeklyPay ETF US77926X7912 · United States | 1 | 22.6M $ |
| 11,237 | WHA Premium Growth Freehold & Leasehold Real Estate InvestmentTrust TH6141010012 · Thailand | 11 | 23M $ |
| 11,238 | abrdn Total Dynamic Dividend F US00326L1008 · United States | 2 | 22.7M $ |
| 11,239 | Greene County Bancorp Inc US3943571071 · United States | 114 | 22.8M $ |
| 11,240 | Foxtons Group PLC GB00BCKFY513 · United Kingdom | 22 | 23.1M $ |
| 11,241 | YungShin Global Holding Corp TW0003705000 · Taiwan | 36 | 22.9M $ |
| 11,242 | JL Mag Rare-Earth Co Ltd CNE100003G83 · China · 2 listed lines | 46 | 23M $ |
| 11,243 | Beijing Roborock Technology Co Ltd CNE100003R80 · China | 49 | 23M $ |
| 11,244 | Envision Greenwise Holdings Ltd KYG3962W1107 · Hong Kong SAR China | 17 | 22.9M $ |
| 11,245 | Yifeng Pharmacy Chain Co Ltd CNE100001TS5 · China | 40 | 22.9M $ |
| 11,246 | NorthIsle Copper & Gold, Inc. CA66644R1038 · Canada | 1 | 23M $ |
| 11,247 | Sakura Development Co Ltd TW0002539004 · Taiwan | 35 | 23M $ |
| 11,248 | RCM Technologies Inc US7493604000 · United States | 106 | 22.8M $ |
| 11,249 | First Trust Alternative Absolu US33740Y1010 · United States · 2 listed lines | 3 | 22.9M $ |
| 11,250 | Asset World Corp PCL TH9436010010 · Thailand · 3 listed lines | 42 | 23M $ |
| 11,251 | EXCELSIOR PN BRBAUHACNPR3 · Brazil | 4 | 22.9M $ |
| 11,252 | COSCO SHIPPING International Hong Kong Co Ltd BMG8114Z1014 · Bermuda | 18 | 23M $ |
| 11,253 | Capital Income Builder Inc US1401937800 · United States | 1 | 22.5M $ |
| 11,254 | Pioneer Bancorp Inc/NY US7235611065 · United States | 93 | 22.7M $ |
| 11,255 | HYPERLIQUID STRATEGIES INC US44916Y1064 · United States | 14 | 22.5M $ |
| 11,256 | ASML HOLD DRN ED BRASMLBDR003 · Brazil | 26 | 22.9M $ |
| 11,257 | K&F Growth Acquisition Corp II KYG522581118 · Cayman Islands | 12 | 22.6M $ |
| 11,258 | MNC SOLUTION CO LTD KR7484870001 · South Korea | 9 | 22.6M $ |
| 11,259 | Phoenix Group PLC AEE01357P238 · United Arab Emirates | 22 | 22.9M $ |
| 11,260 | United Arrows Ltd JP3949400000 · Japan | 39 | 22.8M $ |
| 11,261 | Cholamandalam Investment & Finance Co. Ltd. INE121A08PU7 · India | 1 | 22.4M $ |
| 11,262 | Maoyan Entertainment KYG5804A1076 · Cayman Islands | 30 | 22.9M $ |
| 11,263 | Greenwich Lifesciences Inc US3968791083 · United States | 80 | 22.6M $ |
| 11,264 | Landmark Bancorp Inc/Manhattan KS US51504L1070 · United States | 95 | 22.7M $ |
| 11,265 | Tachibana Eletech Co Ltd JP3466600008 · Japan | 33 | 22.8M $ |
| 11,266 | MFS Blended Research Emerging Markets Equity Fund US5529872401 · United States | 6 | 22.8M $ |
| 11,267 | INTEL DRN BRITLCBDR005 · Brazil | 21 | 22.8M $ |
| 11,268 | Tejas Networks Ltd INE010J01012 · India | 27 | 22.8M $ |
| 11,269 | Berkeley Energia Ltd AU000000BKY0 · Spain | 12 | 22.6M $ |
| 11,270 | CanAlaska Uranium Ltd CA13709C1005 · Canada | 4 | 22.5M $ |
| 11,271 | Arcelik AS TRAARCLK91H5 · Türkiye | 37 | 22.8M $ |
| 11,272 | Tonix Pharmaceuticals Holding Corp US8902608392 · United States | 89 | 22.5M $ |
| 11,273 | Fulin Precision Co Ltd CNE100001YV9 · China | 18 | 22.7M $ |
| 11,274 | EV MOTORS SA ES0105725008 · Spain | 6 | 22.8M $ |
| 11,275 | Sunac Services Holdings Ltd KYG8569B1041 · Hong Kong SAR China | 27 | 22.8M $ |
| 11,276 | Apex Treasury Corp KYG041041081 · Cayman Islands | 15 | 22.4M $ |
| 11,277 | SThree PLC GB00B0KM9T71 · United Kingdom | 31 | 22.7M $ |
| 11,278 | Belluna Co Ltd JP3835650007 · Japan | 47 | 22.7M $ |
| 11,279 | Elco Ltd IL0006940345 · Israel | 25 | 22.6M $ |
| 11,280 | Sanofi Consumer Healthcare India Ltd INE0UOS01011 · India | 23 | 22.5M $ |
| 11,281 | Systems Ltd PK0109001013 · Pakistan | 4 | 22.3M $ |
| 11,282 | JPMORGAN DRN BRJPMCBDR009 · Brazil | 24 | 22.7M $ |
| 11,283 | Agthia Group PJSC AEA001901015 · United Arab Emirates | 34 | 22.7M $ |
| 11,284 | Exchange Listed Funds Trust US30151E5336 · United States | 1 | 22.3M $ |
| 11,285 | Blackrock Multi-Sector Income Tr US09258A1079 · United States | 8 | 22.5M $ |
| 11,286 | Korea Electric Terminal Co Ltd KR7025540006 · South Korea | 40 | 22.6M $ |
| 11,287 | Shanghai Lujiazui Finance & Trade Zone Development Co Ltd CNE0000009S5 · China · 2 listed lines | 28 | 22.6M $ |
| 11,288 | iShares Trust US46434V7799 · United States | 2 | 22.6M $ |
| 11,289 | Shenzhen Fastprint Circuit Tech Co Ltd CNE100000QD5 · China | 23 | 22.5M $ |
| 11,290 | Parker Corp JP3780000000 · Japan | 12 | 22.6M $ |
| 11,291 | Goldman Sachs ETF Trust US3814304388 · United States | 2 | 22.6M $ |
| 11,292 | LS Materials Ltd KR7417200003 · South Korea | 11 | 22.5M $ |
| 11,293 | Sleep Number Corp US83125X1037 · United States | 127 | 22.6M $ |
| 11,294 | Dlocal Ltd/Uruguay KYG290181018 · Uruguay | 31 | 22.4M $ |
| 11,295 | Recticel SA BE0003656676 · Belgium | 38 | 22.5M $ |
| 11,296 | Stone Ridge Art Risk Premium F US86172E1001 · United States | 1 | 22.5M $ |
| 11,297 | Sekisui Jushi Corp JP3420200002 · Japan | 28 | 22.4M $ |
| 11,298 | Odfjell SE NO0003399909 · Norway · 2 listed lines | 43 | 22.4M $ |
| 11,299 | Triveni Engineering & Industries Ltd INE256C01024 · India | 32 | 22.5M $ |
| 11,300 | China Star Entertainment Ltd BMG8437G3195 · Bermuda | 10 | 22.5M $ |