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 |
|---|---|---|---|
| 11,401 | Lotte Rental Co Ltd KR7089860001 · South Korea | 38 | 21.7M $ |
| 11,402 | CECEP Wind-Power Corp CNE100001T15 · China | 30 | 21.7M $ |
| 11,403 | Kinea High Yield CRI - FII BRKNHYCTF005 · Brazil | 4 | 21.7M $ |
| 11,404 | Ausgold Ltd AU000000AUC7 · Australia | 15 | 21.6M $ |
| 11,405 | Hensoldt AG US42701C1071 · Germany | 1 | 21.9M $ |
| 11,406 | Baron Opportunity Fund US0682788866 · United States | 1 | 21.3M $ |
| 11,407 | Public Policy Holding Co Inc US7444302084 · United States | 57 | 21.4M $ |
| 11,408 | abrdn Healthcare Investors US87911J1034 · United States | 5 | 21.3M $ |
| 11,409 | TRP TRANSITION FD US87283Y1001 · United States | 10 | 21.9M $ |
| 11,410 | XP Log FII BRXPLGCTF002 · Brazil | 4 | 21.7M $ |
| 11,411 | Columbia EM Core ex-China ETF US19762B2025 · United States | 3 | 21.5M $ |
| 11,412 | Johnson Health Tech Co Ltd TW0001736007 · Taiwan | 35 | 21.7M $ |
| 11,413 | Yangzhou Yangjie Electronic Technology Co Ltd CNE100001R90 · China | 25 | 21.6M $ |
| 11,414 | Shenzhen Sunlord Electronics Co Ltd CNE1000000M5 · China | 27 | 21.5M $ |
| 11,415 | Vinci Shopping Centers FII BRVISCCTF005 · Brazil | 4 | 21.6M $ |
| 11,416 | VALIC Company I - High Yield Bond Fund US91915R5330 · United States | 3 | 21.8M $ |
| 11,417 | Aditya Birla Housing Finance Ltd. INE831R07656 · India | 1 | 21.2M $ |
| 11,418 | BlackRock Health Sciences Term Trust US09260E1055 · United States | 6 | 21.6M $ |
| 11,419 | Mitsubishi Research Institute Inc JP3902200009 · Japan | 54 | 21.5M $ |
| 11,420 | Nippon Sheet Glass Co Ltd JP3686800008 · Japan | 31 | 21.5M $ |
| 11,421 | Guobo Electronics Co Ltd CNE100005Q55 · China | 25 | 21.6M $ |
| 11,422 | TSC Auto ID Technology Co Ltd TW0003611000 · Taiwan | 21 | 21.6M $ |
| 11,423 | RIKSHM 2.823 05/15/28 XS3073140025 · Sweden | 1 | 21.2M $ |
| 11,424 | S&B Foods Inc JP3163600004 · Japan | 34 | 21.5M $ |
| 11,425 | Wangsu Science & Technology Co Ltd CNE100000GQ8 · China | 24 | 21.5M $ |
| 11,426 | Baron Fifth Avenue Growth Fund US0682788783 · United States | 1 | 21.1M $ |
| 11,427 | TATA Capital Ltd. INE976I07DF6 · India | 1 | 21.1M $ |
| 11,428 | Chenming Electronic Technology Corp TW0003013009 · Taiwan | 30 | 21.5M $ |
| 11,429 | Kenda Rubber Industrial Co Ltd TW0002106002 · Taiwan | 34 | 21.5M $ |
| 11,430 | Bharti Telecom Ltd. INE403D08231 · India | 2 | 21.1M $ |
| 11,431 | RJ Corp Ltd. INE460K08053 · India | 1 | 21.1M $ |
| 11,432 | IDBI Bank Ltd INE008A01015 · India | 18 | 21.4M $ |
| 11,433 | Meeka Metals Ltd AU0000192726 · Australia · 2 listed lines | 8 | 21.3M $ |
| 11,434 | Manitou BF SA FR0000038606 · France | 48 | 21.5M $ |
| 11,435 | Central Plaza Hotel PCL TH0176B10Z18 · Thailand | 15 | 21.4M $ |
| 11,436 | SNOBNO Float 11/27/30 XS3240761661 · Norway | 6 | 21.1M $ |
| 11,437 | MED Life SA ROMEDLACNOR6 · Romania | 8 | 21.5M $ |
| 11,438 | Bestechnic Shanghai Co Ltd CNE100005XM1 · China | 40 | 21.5M $ |
| 11,439 | Kakao Games Corp KR7293490009 · South Korea | 38 | 21.4M $ |
| 11,440 | Zhejiang Cfmoto Power Co Ltd CNE100002W84 · China | 25 | 21.4M $ |
| 11,441 | Lao Feng Xiang Co Ltd CNE0000004K3 · China | 10 | 21.4M $ |
| 11,442 | Eaton Vance Series Trust II US2779072006 · United States | 2 | 21.1M $ |
| 11,443 | Xuji Electric Co Ltd CNE0000007F6 · China | 29 | 21.4M $ |
| 11,444 | Shanghai Aiko Solar Energy Co Ltd CNE000000LN6 · China | 26 | 21.4M $ |
| 11,445 | CIBUS INC US17166A1016 · United States | 21 | 21.5M $ |
| 11,446 | Nexus Select Trust INE0NDH07035 · India | 1 | 21M $ |
| 11,447 | Virtus Asset Trust US92837F6640 · United States · 2 listed lines | 1 | 21M $ |
| 11,448 | Bain Capital Specialty Finance Inc US05684B1070 · United States | 7 | 21.2M $ |
| 11,449 | INVESCO DB MULTI-SECTOR COMMODITY TRUST US46140H1068 · United States | 3 | 21.4M $ |
| 11,450 | Heartland Group Holdings Ltd NZHGHE0007S9 · New Zealand | 29 | 21.3M $ |
| 11,451 | Scales Corp Ltd NZSCLE0002S8 · New Zealand | 30 | 21.3M $ |
| 11,452 | First Trust Exchange-Traded Fund III US33739P2020 · United States · 4 listed lines | 5 | 21.4M $ |
| 11,453 | LUMINA METALS CORP CA55025J1030 · Canada | 4 | 21.4M $ |
| 11,454 | Toyota Financial Services India Ltd. INE692Q07449 · India | 1 | 21M $ |
| 11,455 | Bank Muscat SAOG OM0000002796 · Oman | 4 | 21.4M $ |
| 11,456 | Birla Corp Ltd INE340A01012 · India | 29 | 21.4M $ |
| 11,457 | REC Ltd. INE020B08GG7 · India | 1 | 21M $ |
| 11,458 | Inter Cars SA PLINTCS00010 · Poland | 23 | 21.3M $ |
| 11,459 | UBS AG LONDN BRANCH CH1506202709 · United Kingdom | 1 | 21.3M $ |
| 11,460 | Anpec Electronics Corp TW0006138001 · Taiwan | 28 | 21.3M $ |
| 11,461 | Beijing Tong Ren Tang Chinese Medicine Co Ltd HK0000145638 · Hong Kong SAR China | 30 | 21.3M $ |
| 11,462 | Grace Fabric Technology Co Ltd CNE100003MK3 · China | 7 | 21.3M $ |
| 11,463 | CVRx Inc US1266381052 · United States | 98 | 21M $ |
| 11,464 | 91 DAY T-BILL 20.08.26 IN002026X073 · India | 1 | 20.9M $ |
| 11,465 | SMFG India Credit Company Ltd. INE535H07CU3 · India | 1 | 20.9M $ |
| 11,466 | Bosch Home Comfort India Ltd INE782A01015 · India | 7 | 20.9M $ |
| 11,467 | SP Group A/S DK0061027356 · Denmark | 28 | 21M $ |
| 11,468 | Sekerbank Turk AS TRASKBNK91N8 · Türkiye | 27 | 21.3M $ |
| 11,469 | 91 DAY T-BILL 28.08.26 IN002026X081 · India | 1 | 20.9M $ |
| 11,470 | MFS VIT III New Discovery Value Portfolio US86664T4417 · United States | 3 | 20.9M $ |
| 11,471 | Deutsche Beteiligungs AG DE000A1TNUT7 · Germany | 23 | 21.2M $ |
| 11,472 | Brightstar Resources Ltd AU0000126633 · Australia | 8 | 21.1M $ |
| 11,473 | All Winner Technology Co Ltd CNE100001ZN3 · China | 23 | 21.3M $ |
| 11,474 | EVS Broadcast Equipment SA BE0003820371 · Belgium | 37 | 21.3M $ |
| 11,475 | MML SMALL/MID CAP VALUE US5530976845 · United States | 5 | 20.9M $ |
| 11,476 | MALMOK 2.565 09/09/30 XS3174779374 · Sweden | 1 | 20.9M $ |
| 11,477 | REC Ltd. INE020B08GF9 · India | 1 | 20.8M $ |
| 11,478 | RITES Ltd INE320J01015 · India | 41 | 21.2M $ |
| 11,479 | Topkey Corp TW0004536008 · Taiwan | 35 | 21.2M $ |
| 11,480 | Mivtach Shamir Holdings Ltd IL0001270193 · Israel | 23 | 21.2M $ |
| 11,481 | SIZZLE ACQUISITION CORP II KYG8193F1090 · Cayman Islands | 12 | 20.9M $ |
| 11,482 | Asymchem Laboratories Tianjin Co Ltd CNE100002BZ6 · China · 2 listed lines | 30 | 21.1M $ |
| 11,483 | Transcoal Pacific Tbk PT ID1000144009 · Indonesia | 23 | 21.3M $ |
| 11,484 | Banyan Gold Corp. CA06683K1066 · Canada | 1 | 21.2M $ |
| 11,485 | Nuveen Churchill Direct Lending Corp US67090S1087 · United States | 8 | 21.1M $ |
| 11,486 | Shan Xi Hua Yang Group New Energy Co Ltd CNE000001FP1 · China | 29 | 21.1M $ |
| 11,487 | Baron Global Opportunity Fund US06828M8358 · United States | 1 | 20.8M $ |
| 11,488 | Perfect World Co Ltd/China CNE1000018W6 · China | 29 | 21.1M $ |
| 11,489 | TTEC Holdings Inc US89854H1023 · United States | 120 | 21.1M $ |
| 11,490 | Ahlatci Dogal Gaz Dagitim Enerji VE Yatirim AS TREAHLA00019 · Türkiye | 34 | 21.2M $ |
| 11,491 | Camil Alimentos SA BRCAMLACNOR3 · Brazil | 89 | 21.1M $ |
| 11,492 | Heidelberger Druckmaschinen AG DE0007314007 · Germany | 33 | 21.2M $ |
| 11,493 | Aichi Corp JP3103200006 · Japan | 37 | 21M $ |
| 11,494 | AFDB 0.823 02/10/27 XS2441555880 · Senegal | 1 | 20.7M $ |
| 11,495 | VT Holdings Co Ltd JP3854700006 · Japan | 41 | 21M $ |
| 11,496 | T.S. Lines Ltd. HK0001078598 · Hong Kong SAR China | 17 | 21M $ |
| 11,497 | Mangalore Refinery & Petrochemicals Ltd INE103A01014 · India | 31 | 21M $ |
| 11,498 | SICC Co Ltd CNE100005RH3 · China | 15 | 21M $ |
| 11,499 | VTEX KYG9470A1022 · Cayman Islands | 86 | 20.8M $ |
| 11,500 | Medley Inc JP3921310003 · Japan | 26 | 20.8M $ |