Titelia

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

RankCompanyHoldersValue
11,301IMC S/A ON NM BRMEALACNOR9 · Brazil2622.5M $
11,302Yieldmax Tsm Option Income Strategy ETF US88636R8593 · United States322.5M $
11,303Sichuan New Energy Power Co Ltd CNE0000014Z0 · China2822.4M $
11,304Ruentex Engineering & Construction Co TW0002597002 · Taiwan2322.4M $
11,305TKG Huchems Co Ltd KR7069260008 · South Korea3822.4M $
11,306ADMICOM OYJ FI4000251830 · Finland722M $
11,307Cawachi Ltd JP3226450009 · Japan4022.4M $
11,308Advanced Fiber Resources Zhuhai Ltd CNE100002PK8 · China922.4M $
11,309Banco di Desio e della Brianza SpA IT0001041000 · Italy3822.3M $
11,310Shui On Land Ltd KYG811511131 · Cayman Islands3922.5M $
11,311Sudarshan Chemical Industries Ltd INE659A01023 · India3322.4M $
11,312Health Care & Medical Investment Corp JP3047910009 · Japan2122.4M $
11,313Cube Highways Trust INE0NR607058 · India122M $
11,314Eastern Province Cement Co SA0007879527 · Saudi Arabia2722.4M $
11,315Beijing Yanjing Brewery Co Ltd CNE000000S84 · China3222.4M $
11,316Tong Ren Tang Technologies Co Ltd CNE100000585 · China3422.4M $
11,317Oaktree Specialty Lending Corp US67401P4054 · United States1322M $
11,318Thompson Im Funds Inc US8848912015 · United States222.1M $
11,319MSSCORPS Co Ltd TW0006830003 · Taiwan2122.3M $
11,320CF Bankshares Inc US12520L1098 · United States10322.1M $
11,321Cafe de Coral Holdings Ltd BMG1744V1037 · Bermuda3522.1M $
11,322Patria Renda Urbana Fundo de Investimento Imobiliario Responsabilidade Limitada BRHGRUCTF002 · Brazil422.3M $
11,323American Funds Multi-Sector In US02631W6075 · United States121.9M $
11,324Adecoagro SA LU0584671464 · United States2022.2M $
11,325Concentradora Fibra Danhos SA de CV MXCFDA020005 · Mexico1722.3M $
11,326SBI Medium to Long Duration Fund - Direct Plan - Growth Option INF200K01SR2 · India121.8M $
11,327Wuxi Autowell Technology Co Ltd CNE100004017 · China2222.2M $
11,328Kuros Biosciences AG CH0325814116 · Switzerland2222.1M $
11,329Aditya Birla Fashion and Retail Ltd INE647O01011 · India3422.3M $
11,330Tata Housing Development Co. Ltd. INE582L08078 · India221.8M $
11,331Laramide Resources Ltd CA51669T1012 · Canada1122M $
11,332Danaos Corp MHY1968P1218 · Greece2122M $
11,333Western Asset Diversified Income Fund US95790K1097 · United States621.9M $
11,334Safilo Group SpA IT0004604762 · Italy4322.2M $
11,335Vanguard US Value Factor ETF US9219358051 · United States422.4M $
11,336Marine Products Corp US5684271084 · United States11522M $
11,337Plus Alpha Consulting Co Ltd JP3832700003 · Japan4122.1M $
11,338Genovis AB SE0002485979 · Sweden721.8M $
11,339Heron Therapeutics Inc US4277461020 · United States10822M $
11,340BLS International Services Ltd INE153T01027 · India3622.2M $
11,341Great Eagle Holdings Ltd BMG4069C1486 · Bermuda3322.1M $
11,342Pacer Swan SOS Flex July ETF US69374H4699 · United States122.1M $
11,343Altek Corp TW0003059002 · Taiwan2822.1M $
11,344Guocheng Mining Co Ltd CNE0000003F5 · China1622.1M $
11,345Ashoka Buildcon Ltd INE442H01029 · India3121.9M $
11,346Tasmea Ltd AU0000326191 · Australia2021.8M $
11,347PayPoint PLC GB00BVMTNR93 · United Kingdom2521.8M $
11,348Super Group Ltd/South Africa ZAE000161832 · South Africa3622M $
11,3492023 ETF Series Trust US9009348379 · United States121.7M $
11,350APRILBIO Co Ltd KR7397030008 · South Korea921.9M $
11,351FS Specialty Lending Fund US6443231070 · United States521.7M $
11,352Delek Automotive Systems Ltd IL0008290103 · Israel4222M $
11,353iShares Core 80/20 Aggressive US4642898591 · United States121.7M $
11,354STUDIO CITY INTERNATIONAL HOLDINGS LTD US86389T1060 · Cayman Islands1221.7M $
11,355Northwestern Mutual Series Fund, Inc. - Small Cap Growth Stock Portfolio US6681408257 · United States421.6M $
11,356Gold Royalty Corp CA38071H1064 · Canada1521.7M $
11,357Lakeland Industries Inc US5117951062 · United States9921.8M $
11,358Sarkuysan Elektrolitik Bakir Sanayi ve Ticaret AS TRASARKY91G6 · Türkiye2522M $
11,359International Developed Markets Fund US7824913021 · United States421.6M $
11,360ROKIT Healthcare Inc KR7376900007 · South Korea921.8M $
11,361Oiles Corp JP3174200000 · Japan4121.9M $
11,362Computer Engineering & Consulting Ltd JP3346200003 · Japan3721.9M $
11,363Lion Travel Service Co Ltd TW0002731007 · Taiwan3021.9M $
11,364Tama Home Co Ltd JP3470900006 · Japan3621.9M $
11,365Marudai Food Co Ltd JP3876400007 · Japan3621.9M $
11,366Jackson Acquisition Co II KYG4992A1105 · Cayman Islands1421.6M $
11,367Black Diamond Group Ltd CA09202D2077 · Canada2521.9M $
11,368Bank of Suzhou Co Ltd CNE100003LQ2 · China4721.9M $
11,369STRATEC SE DE000STRA555 · Germany1921.6M $
11,370Starzen Co Ltd JP3399100001 · Japan3221.8M $
11,371CSE Global Ltd SG1G47869290 · Singapore3121.9M $
11,372Small Industries Development Bank of India INE556F08KT6 · India121.5M $
11,373Fukui Bank Ltd/The JP3803600000 · Japan3221.8M $
11,374Rajesh Exports Ltd INE343B01030 · India2422M $
11,375CS Disco Inc US1263271058 · United States12121.7M $
11,376Sipef NV BE0003898187 · Belgium2121.9M $
11,377TaskUS Inc US87652V1098 · United States7221.7M $
11,378Ahnlab Inc KR7053800009 · South Korea3221.9M $
11,379Vital KSK Holdings Inc JP3778280002 · Japan4221.8M $
11,380KEYSTONE POWER/CONEMAUGH US49328K1079 · United States421.7M $
11,381Bank for Investment and Development of Vietnam JSC VN000000BID9 · Vietnam821.8M $
11,382TriSalus Life Sciences Inc US89680M1018 · United States8021.6M $
11,383Kvika banki hf IS0000020469 · Iceland1221.9M $
11,384Kinh Bac City Development Holding Corp VN000000KBC7 · Vietnam1021.7M $
11,385GNI Group Ltd JP3386370005 · Japan1821.8M $
11,386Utechzone Co Ltd TW0003455002 · Taiwan2221.8M $
11,387Okura Industrial Co Ltd JP3178400002 · Japan3521.8M $
11,388MARTIN MIDSTREAM PARTNERS L.P. US5733311055 · United States522M $
11,389Joint Corp/The US47973J1025 · United States10321.6M $
11,390Mortgage Advice Bureau Holdings Ltd GB00BQSBH502 · United Kingdom2321.5M $
11,391Carasent AB SE0023261599 · Sweden2821.4M $
11,392Ufuk Yatirim Yonetim ve Gayrimenkul AS TREFNFK00017 · Türkiye1221.8M $
11,393SBI Dividend Yield Fund - Direct Plan - Growth Option INF200KA14W3 · India121.4M $
11,394AMER FUNDS INS GLOBAL BALANCED FUND US02630E1038 · United States121.4M $
11,395Delton Technology Guangzhou Inc CNE100006HM2 · China · 2 listed lines1021.8M $
11,396Volcan Cia Minera SAA PEP648014202 · Peru521.9M $
11,397Global X Lithium & Battery Tec US37954Y8553 · United States721.8M $
11,398BR Advisory Partners Participacoes SA BRBRBICDAM10 · Brazil10021.6M $
11,399Nichireki Group Co Ltd JP3665600007 · Japan3321.7M $
11,400First Capital Inc US31942S1042 · United States9321.5M $