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 |
|---|---|---|---|
| 11,501 | REPUBLIC DIGITAL ACQUISITION COMPANY KYG7515A1031 · United States | 12 | 20.7M $ |
| 11,502 | FJ Next Holdings Co Ltd JP3166930002 · Japan | 20 | 21M $ |
| 11,503 | Tomoku Co Ltd JP3554000004 · Japan | 37 | 21M $ |
| 11,504 | DiaMedica Therapeutics Inc CA25253X2077 · Canada | 78 | 20.8M $ |
| 11,505 | RICE ACQUISITION CORP III KYG7553X1227 · Cayman Islands | 1 | 21M $ |
| 11,506 | Hanil Cement Co Ltd/New KR7300720000 · South Korea | 33 | 20.9M $ |
| 11,507 | MFS New Discovery Series US55273F8453 · United States | 3 | 20.6M $ |
| 11,508 | Guangzhou Haige Communications Group Inc Co CNE100000T24 · China | 38 | 20.9M $ |
| 11,509 | China Southern Power Grid Energy Storage Co Ltd CNE000001JD9 · China | 17 | 21M $ |
| 11,510 | ENF Technology Co Ltd KR7102710001 · South Korea | 31 | 20.9M $ |
| 11,511 | Xtrackers RREEF Global Natural Resources ETF US23306X8377 · United States | 3 | 20.6M $ |
| 11,512 | Andean Silver Ltd AU0000343253 · Australia | 6 | 20.9M $ |
| 11,513 | Hunan Gold Corp Ltd CNE1000006B5 · China | 22 | 20.9M $ |
| 11,514 | Eagle Financial Services Inc US26951R1041 · United States | 92 | 20.7M $ |
| 11,515 | Youngor Fashion Co Ltd CNE000000XR2 · China | 36 | 21M $ |
| 11,516 | Hanssem Co Ltd KR7009240003 · South Korea | 31 | 20.8M $ |
| 11,517 | Bajaj Consumer Care Ltd INE933K01021 · India | 33 | 20.9M $ |
| 11,518 | Halfords Group PLC GB00B012TP20 · United Kingdom | 34 | 20.9M $ |
| 11,519 | Hakuto Co Ltd JP3766400000 · Japan | 44 | 20.8M $ |
| 11,520 | MediWound Ltd IL0011316309 · Israel | 76 | 20.6M $ |
| 11,521 | Hangzhou Oxygen Plant Group Co Ltd CNE100000Q68 · China | 27 | 20.9M $ |
| 11,522 | Secunet Security Networks AG DE0007276503 · Germany | 40 | 20.8M $ |
| 11,523 | Japan Investment Adviser Co Ltd JP3389470000 · Japan | 32 | 20.8M $ |
| 11,524 | MacroGenics Inc US5560991094 · United States | 46 | 20.6M $ |
| 11,525 | Avantis Short-Term Fixed Income ETF US0250726876 · United States | 2 | 20.7M $ |
| 11,526 | ACEN Corp PHY1001H1024 · Philippines | 30 | 20.9M $ |
| 11,527 | Indian Overseas Bank INE565A01014 · India | 17 | 20.8M $ |
| 11,528 | Thunder Tiger Corp TW0008033002 · Taiwan | 8 | 20.8M $ |
| 11,529 | NAM LONG INVESTMENT CORP VN000000NLG1 · Vietnam | 12 | 20.8M $ |
| 11,530 | BinDawood Holding Co SA154HG210H6 · Saudi Arabia | 27 | 20.9M $ |
| 11,531 | iShares U.S. Infrastructure ETF US46435U7138 · United States | 1 | 20.5M $ |
| 11,532 | Atos SE FR001400X2S4 · France | 15 | 20.5M $ |
| 11,533 | Ki-Star Real Estate Co Ltd JP3277620005 · Japan | 35 | 20.8M $ |
| 11,534 | AO World PLC GB00BJTNFH41 · United Kingdom | 35 | 20.8M $ |
| 11,535 | Lineage Cell Therapeutics Inc US53566P1093 · United States | 17 | 20.6M $ |
| 11,536 | Far East Hospitality Trust SG2F08984575 · Singapore | 21 | 20.7M $ |
| 11,537 | Blue Moon Group Holdings Ltd KYG1193D1097 · Hong Kong SAR China | 29 | 20.8M $ |
| 11,538 | Aadhar Housing Finance Ltd INE883F01010 · India | 16 | 20.8M $ |
| 11,539 | Talkweb Information System Co Ltd CNE100000CF0 · China | 22 | 20.8M $ |
| 11,540 | Hubei Xingfa Chemicals Group Co Ltd CNE000000ZC9 · China | 24 | 20.7M $ |
| 11,541 | Daewoong Co Ltd KR7003090008 · South Korea | 37 | 20.8M $ |
| 11,542 | Hiag Immobilien Holding AG CH0239518779 · Switzerland | 36 | 20.7M $ |
| 11,543 | IEI Integration Corp TW0003022000 · Taiwan | 23 | 20.7M $ |
| 11,544 | Eaton Vance T/M Bu US27828Y1082 · United States | 4 | 20.9M $ |
| 11,545 | STONE CO DRN BRSTOCBDR024 · Brazil | 64 | 20.7M $ |
| 11,546 | Lifestyle Communities Ltd AU000000LIC9 · Australia | 38 | 20.7M $ |
| 11,547 | SEI INST INST EMG MKT DEBT-Y US78411R8280 · United States | 8 | 20.4M $ |
| 11,548 | Daikokutenbussan Co Ltd JP3483050005 · Japan | 44 | 20.6M $ |
| 11,549 | FIDELITY ADVISOR SERIES VII US3159181771 · United States | 1 | 20.7M $ |
| 11,550 | Core Lithium Ltd AU000000CXO2 · Australia | 21 | 20.6M $ |
| 11,551 | BOC International China Co Ltd CNE100003R64 · China | 41 | 20.8M $ |
| 11,552 | Baron Durable Advantage Fund US0682787611 · United States | 1 | 20.4M $ |
| 11,553 | International Personal Finance PLC GB00B1YKG049 · United Kingdom | 22 | 20.7M $ |
| 11,554 | Grand Pacific Petrochemical TW0001312007 · Taiwan | 24 | 20.7M $ |
| 11,555 | Logo Yazilim Sanayi Ve Ticaret AS TRALOGOW91U2 · Türkiye | 29 | 20.5M $ |
| 11,556 | Zojirushi Corp JP3437400009 · Japan | 41 | 20.6M $ |
| 11,557 | PSG Financial Services Ltd ZAE000191417 · South Africa | 24 | 20.6M $ |
| 11,558 | Kayne Anderson BDC Inc US48662X1054 · United States | 4 | 20.5M $ |
| 11,559 | Ganesha Ecosphere Ltd INE845D01014 · India | 16 | 20.3M $ |
| 11,560 | SIGMAXYZ Holdings Inc JP3348950001 · Japan | 39 | 20.5M $ |
| 11,561 | Trial Holdings Inc JP3635490000 · Japan | 24 | 20.5M $ |
| 11,562 | 3I INFRASTRUCTURE PLC /GBP/ JE00BF5FX167 · Jersey | 7 | 20.3M $ |
| 11,563 | OFILM Group Co Ltd CNE100000S33 · China | 52 | 20.7M $ |
| 11,564 | Premium Group Co Ltd JP3833710001 · Japan | 24 | 20.5M $ |
| 11,565 | Irani Papel e Embalagem SA BRRANIACNOR5 · Brazil | 96 | 20.6M $ |
| 11,566 | Shinhan Alpha REIT Co Ltd KR7293940003 · South Korea | 14 | 20.5M $ |
| 11,567 | CMK Corp JP3712000003 · Japan | 33 | 20.6M $ |
| 11,568 | Chongqing Polycomp International Corp CNE100006CP6 · China | 4 | 20.6M $ |
| 11,569 | Shanghai Jinjiang International Hotels Co Ltd CNE000000MK0 · China · 2 listed lines | 31 | 20.6M $ |
| 11,570 | Magna Mining Inc CA55925F1027 · Canada | 4 | 20.6M $ |
| 11,571 | CLAR GLOBAL AB SE0021148293 · Sweden | 1 | 20.2M $ |
| 11,572 | First Trust High Yield Opportu US33741Q1076 · United States | 4 | 20.2M $ |
| 11,573 | Cohort PLC GB00B0YD2B94 · United Kingdom | 31 | 20.6M $ |
| 11,574 | VICTORY PORTFOLIOS IV US92648C8192 · United States · 3 listed lines | 5 | 20.2M $ |
| 11,575 | Ascent Industries Co US8715651076 · United States | 96 | 20.4M $ |
| 11,576 | Hansa Biopharma AB SE0002148817 · Sweden | 26 | 20.3M $ |
| 11,577 | Card Factory PLC GB00BLY2F708 · United Kingdom | 26 | 20.3M $ |
| 11,578 | First Trust Exchange-Traded Fund IV US33738D3098 · United States | 5 | 20.5M $ |
| 11,579 | Inhibikase Therapeutics Inc US45719W2052 · United States | 81 | 20.2M $ |
| 11,580 | Virgin Australia Holdings Ltd AU0000400616 · Australia · 2 listed lines | 23 | 20.4M $ |
| 11,581 | FULLCAST Holdings Co Ltd JP3827800008 · Japan | 40 | 20.3M $ |
| 11,582 | Seers Co Ltd KR7458870003 · South Korea | 7 | 20.4M $ |
| 11,583 | Provident Financial Holdings Inc US7438681014 · United States | 42 | 20.4M $ |
| 11,584 | Navigator Tactical Fixed Incom US66538B5782 · United States | 1 | 20.1M $ |
| 11,585 | DyDo Group Holdings Inc JP3488400007 · Japan | 45 | 20.4M $ |
| 11,586 | Nine Energy Service, Inc. US65441V2007 · United States · 2 listed lines | 9 | 20.4M $ |
| 11,587 | Qurient Co Ltd KR7115180002 · South Korea | 6 | 20.3M $ |
| 11,588 | Tokyo Tekko Co Ltd JP3584600005 · Japan | 25 | 20.5M $ |
| 11,589 | Industri Jamu Dan Farmasi Sido Muncul Tbk PT ID1000130305 · Indonesia | 36 | 20.3M $ |
| 11,590 | Taboola.com Ltd IL0011754137 · Israel | 42 | 20.3M $ |
| 11,591 | General American Investors Company, Inc. US3688021043 · United States | 5 | 20.4M $ |
| 11,592 | Legato Merger Corp III KYG5451A1031 · United States | 6 | 20.1M $ |
| 11,593 | GMO Financial Holdings Inc JP3386550002 · Japan | 44 | 20.3M $ |
| 11,594 | Galliford Try Holdings PLC GB00BKY40Q38 · United Kingdom | 28 | 20.4M $ |
| 11,595 | Shenzhen Investment Ltd HK0604011236 · Hong Kong SAR China | 36 | 20.4M $ |
| 11,596 | Bombay Burmah Trading Co INE050A01025 · India | 42 | 20.4M $ |
| 11,597 | BV Financial Inc US05603E2081 · United States | 90 | 20.2M $ |
| 11,598 | Cheryong Electric Co Ltd KR7033100009 · South Korea | 25 | 20.3M $ |
| 11,599 | J Trust Co Ltd JP3142350002 · Japan | 33 | 20.4M $ |
| 11,600 | Eris Lifesciences Ltd. INE406M08011 · India | 2 | 20M $ |